33110
Company: Mohr Talent
Location: Austin
Posted on: April 5, 2025
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Job Description:
Job Title: Senior Compliance Analyst
Summary:
A financial services firm seeks a Senior Compliance Analyst to
support regulatory responses, client complaint management, and
internal investigations. The successful candidate will help
mitigate risk and ensure compliance with applicable laws, industry
regulations, and company policies. Reporting to the Director of
Regulatory Compliance, this role will serve as a point of contact
for escalated compliance issues and help foster a strong compliance
culture.
The Senior Compliance Analyst will primarily assist in responding
to inquiries from FINRA, SEC, and state regulators. This role
requires the ability to analyze regulatory requests, coordinate
responses, and ensure accuracy in all submissions. Responsibilities
include tracking regulatory requests, conducting quality control
reviews, and managing response deadlines.
Essential Duties and Responsibilities:
Support the Director in managing regulatory matters, including
meetings, requests, and examinations.
Draft and review formal responses to regulatory inquiries from
FINRA, SEC, and state regulators.
Perform quality control reviews and gap analyses on data and
materials provided for regulatory requests.
Track and manage multiple deliverables within strict deadlines.
Maintain direct communication with examination staff throughout
regulatory reviews.
Address examiner concerns and provide necessary clarifications.
Ensure accuracy and clarity in regulatory documentation.
Coordinate responses to regulatory findings and track their
resolution.
Maintain a structured filing system for examination-related
documents.
Conduct FINRA Rule 4530 regulatory filings with minimal
guidance.
Research and respond to customer complaints.
Provide support to independent registered representatives and
investment advisor representatives.
Monitor and assess regulatory changes impacting the firm.
Assist in internal investigations and summarize findings for
internal stakeholders.
Knowledge, Skills, and Abilities:
Strong understanding of business risks and the regulatory
landscape.
Ability to communicate compliance frameworks effectively.
Expertise in data verification, quality validation, and gap
analysis.
Ability to perform under tight deadlines while maintaining
professionalism.
Strong written communication skills with a focus on factual
reporting.
Familiarity with regulatory filing systems and secure document
encryption.
Education and Experience:
5+ years of experience in financial services, preferably in a
Broker-Dealer or RIA environment.
Compliance experience required.
Experience in internal audits, branch examinations, or
investigations preferred.
Ability to handle confidential matters with discretion.
Bachelor's degree required.
Familiarity with LexisNexis, RegEd, Smarsh, and NFS platforms is a
plus.
Certifications and Licenses:
Series 7
Series 24
Series 63
MOHR Talent is an equal-opportunity employer and complies with all
applicable federal, state, and local nondiscrimination laws. We
provide equal employment opportunities regardless of race, color,
religion, sex, national origin, age, disability, marital status,
sexual orientation, gender identity, genetic information,
military/veteran status, or any other protected status. If you
believe you have been discriminated against or have concerns about
our compliance, please contact our Human Resources department at
hr@themohrgrp.com
Keywords: Mohr Talent, Austin , 33110, Other , Austin, Texas
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