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Rekruiting Advisors

Compliance Officer S24/Temp

Responsibilities

  • Approve new customer accounts including KYC supervision and CIP process.
  • Approve outgoing money movements.
  • Conduct regular monitoring of securities and money transactions (incoming wires) and complete appropriate review when dealing with third party transfers.
  • Participate in investigations of unusual activities and file SARs with FinCEN, when and if applicable.
  • Participate in regular, annual and ad-hoc testing/monitoring/and adjustment of policies, procedures, and processes for surveillance and monitoring tasks for the broker dealer and investment adviser.
  • Review of alerts generated to monitor sales practices and AML issues.
  • Review of electronic communications via Global Relay and Smarsh.
  • Review of outside brokerage accounts.
  • Periodic review of accounts categorized as high risk and PEP/ PEP related.
  • Review of advisory accounts to assess accuracy of fees and overall portfolio.
  • Review of Reg BI explanations provided by sales personnel when recommending an investment product/ strategy.
  • Assist in the review of marketing letter.
  • Assist in Form ADV Updates, Form CRS, and other disclosures.
  • Assist in the planning, implementation and follow up of annual training.
  • Assist in the review of annual compliance questionnaires and any disclosures collected from associates.
  • Review and ongoing review of outside business activities.
  • Stay abreast of changes in regulatory environment providing guidance and advice to management including RegBI.
  • Assess risks and proactively propose solutions.
  • Monitor firm’s TRACE, CAT and CAIS reporting.
  • Assist in various other compliance needs and tasks as necessary.
  • Supervise outside business activity.
  • Perform initial due diligence and approve registered personnel.

Qualifications

  • 5+ years of experience in AML / Compliance for a broker-dealer.
  • Training in BSA/AML and OFAC Compliance or equivalent.
  • Strong working knowledge of FINRA and SEC rules.
  • Expertise with financial products of a broker dealer.
  • Series 7, 66 and 24; can pass 66 within six months of hire.
  • Bachelor’s degree.
  • Fluency in English and Spanish.
  • Plus: Experience with Pershing platform.
Job Type: Part Time
Job Location: Miami - FL

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