Benjamin F. Edwards is seeking a Compliance Surveillance Associate in St. Louis to monitor client accounts and Advisor activity for FINRA/SEC compliance, interpreting policies and procedures across branches. The role involves investigating suspicious activity, developing preventive controls, and coordinating with Compliance teams to implement new reports and tools. Strong regulatory knowledge and experience with brokerage operations are essential.

Also on the board Same function, level within a rung

Level

Mid

Location

St Louis, MO

Occupation

Compliance Managers

Industry

Investment Banking and Securities Intermediation

Posted

yesterday

Apply for this role →