Broker-Dealer Compliance Associate

Greenwich, Connecticut

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About the Role

A top FinTech Firm is looking for a Compliance Associate candidate to join its Regulatory and Compliance group, focused on broker-dealer compliance. This team member will oversee employee-related compliance matters such as the review and approval of employees outside brokerage accounts, personal trading activities, private investments, and outside business activities. The candidate will also be responsible for generally assisting the Regulatory and Compliance team with various compliance focused tasks, including updates to policies and procedures and monitoring and testing.


Responsibilities

  • Collaborate across various business lines on new marketing initiatives, providing compliance guidance
  • Assist in maintaining and updating policies and procedures based on new regulatory developments and new business initiatives
  • Assist in developing and conducting company-wide training to meet both SEC and FINRA obligations
  • Assist in preparing for and responding to inquiries and audits from regulatory authorities

Date Posted: 28 April 2025
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