benjamin f edwardsSt Louis, MO
Compliance Surveillance Associate
Compliance Surveillance Associate
Compliance Surveillance Associate
benjamin f edwardsSt Louis, MO
today
Portfolio Management and Investment AdviceMiscellaneous Financial Investment ActivitiesInvestment Banking and Securities Intermediation
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Job Summary:
The Compliance Surveillance Associate will monitor client accounts and Financial Advisor activity to ensure compliance with FINRA, SEC rules and regulations and BFE policies. Act as main point of contact with branch locations to interpret policies and procedures and regulatory rules. Conduct investigations of suspicious activity, recommend corrective action, and develop long term prevention controls.
Essential Duties & Responsibilities:
Responsible for performing trade surveillance with special attention paid to senior investors and AML related activity and evaluating potential exceptions based on securities laws, regulations, and firm policy. Coaching branch and home office staff on policies and procedures to promote compliance awareness Collaborate with branch managers and other Compliance and Supervision personnel to address Compliance matters. Assist in the development of new exception reports, processes, controls, and tools to help identify exceptions based on securities laws, regulations and firm policy. Draft or assist in the drafting of communications to brokers and clients addressing Compliance matters. Provide compliance risk and regulatory subject matter expertise. Provide written and verbal updates to Compliance managers as needed.
Qualifications:
Understanding of the application of SEC and FINRA regulations and the need for firm Compliance Policies and Procedures. Strong regulatory, product, and brokerage knowledge, with an emphasis on mutual funds, annuities. Familiarity with automated supervision and surveillance systems. Ability to manage and prioritize multiple tasks while meeting deadlines. Ability to adapt to changing work environment, roles, and responsibilities. Ability to prioritize and resolve complex problems and escalate as necessary. Expertise with Microsoft Office (Word, Excel, and Outlook). Strong written, verbal, and analytical skills. Strong attention to detail. Education and/or
Work Experience
Minimum Education Required:
Four-year college degree in business or related field (BS in Business, Accounting or Finance preferred). Minimum Work Experience Required: 5+ years of financial industry compliance related experience or equivalent work, education, or training. Licenses/Registration:
Minimum Required: SIE, Series 7, 66, 24
Work Environment:
This position requires the ability to work in a stationary position for several hours at a time and the ability to lift up to 25 pounds, occasionally. Some filing is required. The work environment is an air conditioned, smoke-free, office environment. This position routinely uses standard office equipment such as computers, phones, photocopiers and filing cabinets. About Benjamin F. Edwards
Also on the board Same function, level within a rung
Level
Senior
Location
St Louis, MO
Occupation
Compliance Officers
Industry
Portfolio Management and Investment Advice
Posted
today