INSPYR

Compliance Analyst - Remote


Pay$25.00 - $28.00 / hour
LocationLos Angeles/California
Employment typeFull-Time

This job is now closed

  • Job Description

      Req#: 24-08571
      Title: Compliance Analyst
      Location: Remote
      Duration: 6+ month contract
      Compensation: $25.00-28.00/hr.
      Work Requirements: US Citizen, GC Holders or Authorized to Work in the U.S.

      If interested please contact Margot Parsons at mparsons@inspyrsolutions.com or call 714-465-5478

      Summary
      The Compliance Analyst will work closely with the members of a team focusing on regulatory broker-dealer compliance issues concerning monitoring public communications, marketing, licensing/registration, handling customer complaints, recordkeeping requirements, supervision, regulatory filings, etc. The Compliance Analyst will serve as the primary day-to-day contact for the business regarding all broker-dealer-related compliance matters. The Compliance Officer will report to a supervisor with the Wealth Management Broker/Dealer Compliance division.

      Responsibilities:
      • Assist the Wealth Management Broker/Dealer Entities' CCO in conducting one or more of the following responsibilities.
      • Analyze marketing material for compliance with regulatory standards including, SEC, FINRA, and MSRB.
      • Serve as a resource to internal partners with inquiries regarding business communications.
      • Monitor the existing Broker/Dealer compliance programs.
      • Monitor, review, and challenge risk assessments and testing of compliance programs.
      • Analyze current Compliance functions and suggest enhancements and standardization, where appropriate.
      • Identify and recommend necessary changes to business unit procedures to address compliance gaps or improve adherence to regulatory and firm requirements.
      • Perform all necessary functions and management reporting for FINRA Rules 3130.
      • Assist in the e-mail review/escalation process and lead internal investigations resulting from such reviews.
      • Analyze marketing material for compliance with regulatory standards including, SEC, FINRA, and MSRB.
      • Assist with regulatory exams, audits, production of responses to regulatory inquiries; and support of the transfer agent operations.

      Seeking:
      • Hands on experience with compliance related matters such as Exams, Audits, Control Oversight, 3130 Annual Reviews, Branch Examinations, Employee Compliance Matters, Licensing and Registration matters.
      • Strong abilities in analytical thinking, problem-solving, research, and time management
      • Must have excellent verbal communication and people skills
      • FINRA Series 7 and/or Series 24 licenses are preferred.
  • About the company

      Genuent provides an innovative approach to the Delivery of Information Technology Talent. Genuent is becoming INSPYR Solutions.

Notice

Talentify is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or protected veteran status.

Talentify provides reasonable accommodations to qualified applicants with disabilities, including disabled veterans. Request assistance at accessibility@talentify.io or 407-000-0000.

Federal law requires every new hire to complete Form I-9 and present proof of identity and U.S. work eligibility.

An Automated Employment Decision Tool (AEDT) will score your job-related skills and responses. Bias-audit & data-use details: www.talentify.io/bias-audit-report. NYC applicants may request an alternative process or accommodation at aedt@talentify.io or 407-000-0000.