OneMain Financial Jobs

Job Information

Raymond James Financial, Inc. Compliance Director, Investment Advisory Compliance in Saint Petersburg, Florida

Essential Duties and Responsibilities

  • Assists in supporting the compliance program for AMS

  • Serves as a compliance subject matter expert specific to the business and associated programs administered by AMS.

  • Identifies, develops and administers compliance monitoring activities over AMS functions, including investment management activities, advisory fee billing, and manager research.

  • Schedules and facilitates periodic meetings specific to investment advisory activities such as best execution.

  • Participates in annual compliance initiatives such as the Compliance Risk Assessment and Conflicts of Interest Assessment.

  • May assist with the development and implementation of continuing education and training programs for the department in conjunction with management.

  • Establishes objectives and develops processes and procedures to ensure adherence to all regulatory requirements.

  • Periodically review client-facing correspondence and related disclosures.

  • Partners with business units to recommend policy and process changes to Senior Management.

  • Reviews compliance and risk management controls and recommends appropriate changes, as required.

  • Identifies, recommends, and works with other areas of the firm to automate and streamline functions to improve operational efficiencies of compliance systems.

  • May serve as a compliance liaison on various committees and projects representing the interest of the department.

  • Researches regulatory updates to identify linkages and trends and apply findings.

  • Performs periodic reporting on compliance and operational issues as required.

  • Performs other duties and responsibilities as assigned.

Knowledge, Skills, and Abilities

Advanced Knowledge of:

  • Concepts, practices, and procedures of securities industry and/or investment advisory compliance.

  • Rules and regulations of: Securities Exchange Commission (SEC); Investment Advisers Act of 1940 and SEC regulatory environment, Financial Industry Regulatory Authority (FINRA); state securities regulatory agencies.

  • Investment concepts, practices and procedures used in the securities industry.

  • Principles of banking and finance and securities industry operations.

  • Financial markets and products.

Advanced skill in:

  • Planning and scheduling work to meet regulatory organizational and regulatory requirements.

  • Investigating compliances issues and irregularities.

  • Making rule-based and analytical decisions.

  • Identifying and applying appropriate compliance monitoring procedures and tests.

  • Strong verbal and written communication.

  • Preparing oral and/or written reports.

  • Project management skills and experience sufficient to successfully complete long and short-term projects.

  • Operating standard office equipment and using required software applications.

Ability to:

  • Partner with other functional areas to accomplish objectives.

  • Facilitate meetings, ensuring that all viewpoints, ideas, and problems are addressed.

  • Work under pressure on multiple tasks concurrently and meet deadlines in a fast-paced work environment with frequent interruptions and changing priorities.

  • Attend to detail while maintaining a big picture orientation.

  • Use appropriate interpersonal styles and communicate effectively and professionally, both orally and in writing, with all organizational levels to accomplish objectives.

  • Establish and communicate clear directions and priorities.

  • Gather information, identify linkages and trends, and apply findings to operations.

  • Maintain currency in laws, rules and regulations related to compliance in assigned functional area.

  • Work independently as well as collaboratively within a team environment.

  • Interpret and apply policies and identify and recommend changes as appropriate.

  • Quantitatively and/or qualitatively process data.

  • Formulate and implement department strategies consistent with long-term company goals.

  • Promote team cohesiveness, cooperation, and effectiveness.

Educational/Previous Experience Requirements

  • Bachelor’s Degree (B.A./B.S.) in a related discipline required with a Master’s degree preferred. Minimum of ten (10) years of Compliance, Legal, Banking and/or regulatory experience in the financial services industry.

  • Minimum five (5) years management experience within the financial services industry.

or

  • Any equivalent combination of experience, education, and/or training approved by Human Resources.

Licenses/Certifications

  • None Required.

  • Series 7 and 66 preferred

  • Additional licenses/certifications demonstrating the candidate’s knowledge/expertise in industry regulation and concepts preferred.

DirectEmployers