Supervisory Principal

BTGPactual InternationalMiami, FL

About The Position

We are seeking a Supervisor to support the Head of Supervision and oversee day‑to‑day supervisory activities across retail and institutional business lines. This role is critical to maintaining a strong control environment, ensuring regulatory compliance, and supporting the firm’s operational growth. The Supervisor partners closely with Compliance, Legal, Business, and Operational Risk teams, and serves as a key point of contact with regulators, auditors, consultants, and clearing partners. The ideal candidate has experience in supervision or compliance within a U.S. broker‑dealer environment, is detail‑oriented, collaborates effectively across teams, and contributes to process‑improvement and automation initiatives that enhance controls, streamline workflows, and increase scalability across supervision and monitoring functions.

Requirements

  • Excellent written and verbal communications skills and an ability to interact effectively with internal and external stakeholders, including investment committee members, clients, partners, and others
  • A creative, entrepreneurial spirit and an ability to thrive in a meritocratic workplace
  • Excellent critical thinking and problem solving skills
  • An ability to execute across a wide range of tasks, including long-term strategic initiatives
  • Ability to work both independently and within a team, to effectively prioritize and manage multiple projects simultaneously, and deliver against specific workplans and timelines
  • A passion for sustainability, real assets investing and the development of innovative, high-impact natural climate solutions
  • Bachelor’s degree or equivalent
  • Strong knowledge of U.S. securities regulation, including FINRA and SEC rules.
  • Solid understanding of broker‑dealer operations (trading, clearing, settlement, onboarding).
  • Strong analytical, organizational, and communication skills.
  • Ability to work collaboratively in a fast‑paced environment.
  • Proficiency with trading platforms, internal systems, and Microsoft Office.
  • FINRA licenses required: Series 7, 24, and 63. Candidates not currently registered must obtain the Series 7 and 63 within six (6) months of hire.
  • Fluency in English required

Nice To Haves

  • Bachelor’s degree in Finance, Business, Economics, or a related field.
  • 3 years of experience within the financial services industry.
  • Exposure to futures, options, and other derivatives is a plus.
  • Series 4 and/or Series 3 preferred.
  • Portuguese and Spanish are a plus.

Responsibilities

  • Conduct daily supervisory reviews, including trades, blotters, alerts, and sales practice activity.
  • Ensure compliance with FINRA, SEC, and internal policies and procedures (WSPs).
  • Review account activity to identify potential issues, trends, or exceptions.
  • Perform best execution reviews, assessing pricing, execution quality, and venues.
  • Support internal, external, and regulatory audits, including remediation efforts.
  • Assist with client complaints and error resolution and reporting.
  • Maintain and update supervisory and desktop procedures.
  • Support onboarding and review of new products and related training initiatives.
  • Partner with Compliance, Legal, Operations, IT, and cross‑border teams.
  • Prepare supervisory and risk reporting for management.
  • Assist with projects, ad‑hoc initiatives, and technology enhancements within the supervision function.
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