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Compliance Associate

Full-time

Madison-Davis, LLC

A financial services firm is looking for a Compliance Associate to join its regulatory compliance team. This is a broad-based role covering securities compliance, employee conduct, regulatory registrations, monitoring, examinations, and compliance program administration.

The position is well suited for someone with broker-dealer compliance experience who enjoys a varied workload and regular interaction with employees and business partners.

Responsibilities

  • Coordinate securities licensing and registration matters, including onboarding, updates, renewals, and departures.
  • Monitor employee compliance requirements, including personal securities transactions, conflicts, restricted securities, and related approvals.
  • Oversee required continuing education, annual certifications, and other recurring employee compliance obligations.
  • Assist with compliance training for new and existing employees and track completion requirements.
  • Review employee Gifts & Entertainment activity and administer associated disclosures and approvals.
  • Perform communications monitoring and other surveillance activities, research exceptions, and escalate potential concerns.
  • Assist with responses to FINRA and other regulatory requests, including collecting records and preparing supporting documentation.
  • Participate in regulatory and branch examinations and help coordinate document production and employee preparation.
  • Update policies, procedures, and internal guidance to reflect regulatory developments and evolving business activities.
  • Recommend improvements to compliance processes, controls, and reporting mechanisms.
  • Provide compliance support for new systems and technology initiatives, including the responsible use of AI and appropriate user-access controls.
  • Work closely with business and control functions to resolve compliance matters and maintain an effective regulatory framework.

Qualifications

  • Prior experience in broker-dealer, securities, or financial services compliance.
  • Practical understanding of FINRA rules and broker-dealer regulatory requirements.
  • Experience in one or more areas such as licensing and registrations, employee compliance, surveillance, regulatory examinations, or regulatory inquiries.
  • Ability to interpret regulations and develop clear, practical compliance guidance.
  • Strong writing, analytical, organizational, and problem-solving skills.
  • High attention to detail and ability to manage competing priorities and deadlines.
  • Strong interpersonal skills with the ability to work effectively across different levels of an organization.

Vacancy posted 1 day ago
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