Compliance Analyst
Parsonex Financial Services, Inc. - Tustin Office - John McCarthy, Branch President
Parsonex Securities, Inc.&Parsonex Advisory Services, Inc.|Englewood, Colorado Job Type: Full-Time, Monday–Friday Employer: Parsonex Enterprises, Inc. Registered With: Parsonex Securities, Inc. (broker-dealer) and Parsonex Advisory Services, Inc. (registered investment adviser) Reports To: Chief Compliance Officer Overview Parsonex Enterprises is seeking an experienced, licensed Compliance Analyst to support its affiliated financial services firms — Parsonex Securities, Inc., a registered broker-dealer, and Parsonex Advisory Services, Inc., a registered investment adviser — from our office in Englewood, Colorado. The individual is employed by Parsonex Enterprises and its affiliates, and holds their principal and representative registrations with the applicable regulated entities. This is a hands‑on execution role for a licensed compliance professional who can manage direct responsibility for compliance functions in a mid‑sized, fast‑growing firm. Reporting to and working closely with the Chief Compliance Officer, this role executes the compliance program day to day across both firms — running the recurring compliance calendar, completing regulatory filings, conducting periodic reviews, and holding principal‑level approval authority. A technology‑enabled compliance program supports the role with structured workflows and supervisory visibility, enabling an efficient, execution‑focused approach to the work. Primary Functions Regulatory filings & registration Prepare and file regulatory forms, amendments, and other filings as required. Monitor and maintain CRD/IARD record accuracy. Conduct onboarding workflows for registered and non‑registered individuals of the firm. Draft and manage responses to regulatory inquiries and requests. Transaction approval & review Principal approval of new business — independently review and approve advisory and brokerage new‑account submissions for completeness, accuracy, suitability, best interest, and conduct under the firms’ standards and within the scope of the required principal registrations. Conduct periodic review of client correspondence, communications, advertising, and marketing materials under applicable FINRA and SEC requirements, including the SEC Marketing Rule. Program execution & operations Manage and adhere to the firms’ compliance calendar — tracking and completing scheduled, deadline‑based obligations across both entities so nothing lapses. Execute the firms’ compliance program using its technology‑enabled workflows, maintaining supervisory records and documentation to firm standards. Periodically review customer accounts and maintain current, accurate files consistent with SEC Rule 204-2 and FINRA recordkeeping requirements. Support operations and finance by handling representative and internal inquiries as allowable under the firms’ written supervisory procedures. Assist various adjacent departments in procuring records and information during financial audits, examinations, and regulatory requests. Serve as a knowledgeable point of contact for representatives on compliance and registration questions, and elevate exceptions and judgment items to the CCO. Qualifications Required Licenses: Series 6, Series 26, and Series 65/66. The Series 51 (Municipal Fund Securities Limited Principal) is required as a condition of employment — candidates who do not already hold it must obtain it within 90 days of offer acceptance. Direct experience in broker‑dealer and/or RIA compliance and operations. Working familiarity with Regulation Best Interest, Form CRS, FINRA Rules 2330, 3110, and 3230, the SEC Marketing Rule, and SEC Rule 204-2 recordkeeping. Client service experience preferred — an understanding of the client perspective is valued. Skills & Attributes Sound independent judgment and documentation discipline suited to holding principal‑level approval authority. Ability to proactively identify process improvements and to own, prioritize, and manage projects to completion. Technical problem‑solving and workflow‑management capability across multiple systems. Excellent interpersonal skills, with the ability to build productive relationships with team members, advisors, clients, and peers. Strong attention to detail, organization, and a results‑oriented approach to resolving compliance issues. A team player who thrives in a fast‑growing small‑office environment and contributes to a dynamic culture. We Offer A dynamic, supportive, and collaborative work environment. Meaningful ownership of a core compliance function with room to grow. Full benefits package and a healthy work‑life balance. #J-18808-Ljbffr Parsonex
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Regulatory Compliance AnalystLocation: Austin, Denver, or San FranciscoWork Model: Hybrid, in-office roleCompensation:$100,000-$120,000... ...security.The OpportunityWe are looking for a Regulatory Compliance Analyst to support the Senior Director, Regulatory Compliance in the...SuggestedLocal area1 day per week$55k - $120k
...companies to small and mid-market firms, rely on SS&C for expertise, scale, and technology.Job DescriptionTitle: Post Trade Compliance Analyst Location: Denver, CO; Boston, MA; Waltham, MA - HybridAbout the Role As a Post-Trade Compliance Analyst, you will serve as a...SuggestedOngoing contractFull timeWork at office$113.4k - $144.38k
...Air Methods is seeking a Compliance Manager to oversee defense and regulatory compliance initiatives in Englewood, Colorado. This role is crucial for maintaining adherence to federal standards like CMMC, DFARS, and ITAR. The Compliance Manager will manage audit readiness...Suggested$48k - $59.9k
...Compliance Analyst We are seeking a Compliance Analyst to join our global Compliance team. In this role, you will be responsible for conducting client due diligence reviews, assessing risk, and ensuring compliance with the firm's Anti-Money Laundering (AML) policies...SuggestedMonday to Friday$85k - $93k
...we would love to hear from you! Your opportunity A Senior Analyst role within the Investment Guideline Implementation Team... ...review of legal documents and subsequent coding of logic-based compliance rules into Charles River and Blackrock's Aladdin for automated...Work at officeFlexible hours$90k - $95k
Regulatory Affairs Specialist II Change people’s lives and love what you do! Cochlear is the most recognized brand in hearing health care. About the role Change people’s lives and love what you do at Cochlear—the most recognized brand in hearing health care—helping people...Work experience placementWork at officeImmediate startWork from home2 days per week3 days per week$62k - $80k
As a Compliance Analyst at Convera, you will help promote a sound Compliance culture across the organisation through ensuring that there is an effective AML programme that effectively mitigates the risk of onboarding customers which are outside of Convera’s risk appetite...Work experience placementLocal area- ...meticulous preparation, filing, and review of regulatory reports for a broker-dealer and a futures/FX entity, ensuring accuracy and compliance with industry standards. You will review and prepare SEA Rule 15c3-3 and 15c3-1 computations, analyze the FO CU S report, and...
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Compliance Analyst ISkip to main content**We use cookies to improve your experience on our career site. By continuing to browse, you consent to our use of cookies.**# CareersCompliance Analyst I page is loaded## Compliance Analyst IApplylocations: Aurora, COtime type:...Hourly payFull timeTemporary workFor contractorsApprenticeshipWork at officeLocal areaRelocation- Are you a credentialed life insurance producer who feels constrained by corporate caps, captive carrier limitations, or opaque lead structures? We are expanding our network of established financial protection specialists. This 1099 entrepreneurial partnership is tailored...Contract workWork at officeImmediate startRemote work
$98k - $105k
...variable insurance funds, retail mutual funds, ETFs, collective investments trusts and other assets.Position Overview: As a Lead Compliance Analyst, you will be responsible for assisting with multiple functions and activities covering TAM’s suite of mutual funds, exchange-...Full timeWork at officeWorldwide- ...Governance Risk & Compliance AnalystSystem One is seeking a GRC Analyst for an opportunity in Lakewood, CO. The GRC Analyst is a member of the Governance, Risk & Compliance function within the Global Information Security Office and supports the implementation of company...Work at officeLocal area
- Parsonex Enterprises, Inc. in Englewood, Colorado seeks an experienced, licensed Compliance Analyst to support its affiliated firms—Parsonex Securities, Inc. and Parsonex Advisory Services, Inc.—from our office in Englewood. This hands-on role operates under the Chief...Work at office
$21.75 - $24.88 per hour
Job ID: 292754 Store Name/Number: CO-South Glenn (1152) Address: Streets at South Glenn Suite 24 6853 S.York Street, Centennial, CO 80122, United States (US) Hourly/Salaried: Hourly (Non-Exempt) Full Time/Part Time: Part Time Position Type: Regular ...Hourly payFull timePart timeFlexible hoursShift workNight shiftWeekend work- Primoris Services Corp. is seeking a Compliance Analyst I in Aurora, CO. The role involves ensuring adherence to apprenticeship and compliance regulations on solar construction sites. The ideal candidate will be responsible for monitoring program metrics, validating payroll...Temporary workApprenticeshipRelocation
- Cochlear is seeking a Regulatory Affairs Specialist II to support submissions to FDA and Health Canada from our Lone Tree, CO location. This hybrid role requires in-office presence at least three days per week and offers a competitive compensation package with a bonus opportunity...Work at office3 days per week
- ...capabilities across enterprise contact center platforms, with a strong focus on NICE CXone and related tools. The Senior Reporting Analyst will serve as a key technical resource for reporting issues, data quality initiatives, and performance analytics—ensuring insights...Part timeWork experience placementWork at officeFlexible hours
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...territories. Advises sales leadership on various business topics through continued assessment of personnel, pricing, distribution, compliance, operations, and staffing. Recommends changes to improve the effectiveness of achieving regional sales objectives.Reinforces...Full timeTemporary workFlexible hours$124.36k - $146.3k
...translate complex requirements into clear, actionable outcomes.RESPONSIBILITIESPartners with their assigned Line of Business, other Risk/Compliance/Audit (RCA) professionals, and RCA Managers to, depending on their function, create, implement, maintain, review or oversee an...Full timeWork experience placementWork at officeLocal area3 days per week- ...and programsRelevant Privacy certifications such as CIPP, CIPM or CIPT are required5+ years of professional experience in ethics, compliance, risk, legal, and/or governance in a large, multinational organization preferred3+ years of experience in driving regulatory...Apprenticeship
- ...and/ or applicable professional certifications (e.g., Juris Doctor or CPA) preferred5+ years of professional experience in ethics, compliance, risk, legal, and/or governance in a large, multinational organization preferred, of which 3+ years of experience should be in...Apprenticeship
$78.9k - $123.3k
Position Overview We are seeking a detail-oriented cybersecurity compliance professional to support system authorization and continuous monitoring activities within a Federal environment. This role is responsible for managing the security authorization lifecycle for one...Permanent employmentFull timePart timeWork at officeLocal areaRemote work$35k - $48k
Junior Compliance Officer (Operations, Junior Analyst) Location: Denver, CO The MIL Corporation seeks a Junior Compliance Officer (Operations, Jr. Analyst) to support a federal law enforcement client with I‑9 audit support services and worksite enforcement compliance...Contract workFor contractorsWork at officeRemote workWeekend work- ...end-to-end onboarding experience for a high-volume hourly workforce, from offer to Day 1. You will coordinate background checks, compliance, and HR system setup while collaborating with recruiters and hiring managers. Ideal candidates have 1-2 years in HR or onboarding...Hourly pay
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...of its clients by delivering this unique financial planning service conveniently at their fingertips, anytime and anywhere. The Compliance Specialist will help create and champion a culture of compliance for a new investment advisory business activity at the pre-launch...Work at officeFlexible hoursShift work3 days per week$177k - $266k
..., and digital health. · Translate regulatory intelligence into actionable strategies and risk mitigation plans. · Ensure ongoing compliance throughout the product lifecycle, including post-market obligations and change management. QualificationsWhat You Will Bring Regulatory...WorldwideFlexible hours$113.4k - $144.38k
OverviewJob SummaryThe Compliance Manager oversees United Rotorcraft’s (UR) defense and regulatory compliance initiatives, ensuring adherence to federal standards such as CMMC, DFARS, NIST 800-171, ITAR, and EAR. This role is responsible for safeguarding Controlled Unclassified...Contract workFor contractorsFor subcontractorWork at office$38.27 - $42.53 per hour
...institutions through innovative financial solutions. This organization is committed to maintaining the highest standards of regulatory compliance and operational excellence, ensuring the integrity and stability of the financial markets it serves. As an Aquent talent, you...Hourly payTemporary workRemote work$129.3k - $193.9k
...-on project manager for individual initiatives, ensuring deliverables are completed on time, within scope, within budget, and in compliance with quality and regulatory requirements.Lead lower- to moderate-complexity projects, including new product introduction (NPI), product...WorldwideFlexible hours
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