Manager, Compliance
Company: Commonwealth Financial Network LLC
Location: Cincinnati
Posted on: November 1, 2024
Job Description:
Min: USD $104,900.00/Yr.
Max: USD $125,000.00/Yr.
Overview
If you're looking for a high-energy, inclusive atmosphere and a
company that understands the importance of work/life balance,
Commonwealth is your match! From generous bonus and 401(k) programs
to tuition reimbursement and flexible work schedules, Commonwealth
is focused on helping its employees thrive in an environment suited
to their needs. On top of all that, the Compliance department
offers a hybrid work schedule, so you'll be able to work from home
for part of the week! We're looking for a manager, compliance to
join our ranks in greater Cincinnati, Ohio! The Manager of
Compliance will provide leadership and support to our Compliance
Consulting, Advertising and Licensing teams located in our
Cincinnati, Ohio office, helping to develop and support a
collaborative compliance team providing indispensable service to
our affiliated advisors. As a dually registered broker-dealer and
investment advisory firm that supports both dually registered and
fee-only advisors, the Manager of Compliance must be able to
distinguish, accurately articulate, and consistently apply relevant
broker-dealer or investment adviser rules and regulations to each
of our affiliated advisors based on their unique affiliation model
with Commonwealth. Key Responsibilities
- Providing trusted and thoughtful guidance and support to
Compliance team members, our advisors and affiliates about
applicable firm policies, rules, and regulations
- Assisting in the creation, modification, implementation, and
enforcement of the firm's various compliance policies, procedures,
and controls
- Helping to set performance expectations and supporting
professional development through coaching, training, and timely
feedback
- Overseeing workflows to ensure department objectives and key
results are achieved
- Helping to ensure consistency, accuracy, timeliness and
efficiency
- Researching and resolving issues in a timely and professional
manner
- Aligning team objectivities and priorities with those of the
department and firm
- Providing ongoing guidance, support, and direction to other
business units about compliance matters
- Ensuring that our firm's broker-dealer and investment adviser
activities remain in compliance with applicable SEC, FINRA and
state rules and regulations, including the requirements of the
Investment Advisers Act, Securities Exchange Act, FINRA and state
rules, as applicable
- Understanding and accurately communicating and applying the
differences between firm policies and applicable rules and
regulations
- Exercising reasonable judgment, common sense and creative
thinking while operating within the confines of applicable rules
and regulations and firm policies
- Cultivating an effective communication and education strategy
that clearly and concisely creates great experiences for our team
and our advisor community
- Working closely with compliance subject-matter experts and
internal stakeholders to support and deliver an indispensable
service experience for our advisors
- Creating, supporting and fostering Commonwealth's unique
culture of quality and community Core Strengths and Skills
- Bachelor's degree required
- FINRA Series 7, 24, 66 (or 63 and 65) licenses required
- 5+ years broker-dealer and investment adviser compliance
experience
- Previous supervisory or management experience required
- Ability to solve complex problems, assess risk, and offer
solutions based on applicable rules and regulations, firm policies,
and regulatory interpretive guidance
- Exceptional ability to provide indispensable service through
solution-oriented, timely and accurate decision-making
- Adept at working with shifting priorities, demands, and
timelines
- Excellent listening, writing, relationship building, coaching,
and communication skillsHave we piqued your curiosity? Can you see
yourself thriving in this opportunity? Picture Yourself Here At
Commonwealth, we believe in a better world. We hold ourselves and
each other to higher standards. We take care of one another. That's
why we invest in you-we encourage employee growth both in your
career and education; we are building out a robust diversity,
equity, and inclusion program; we offer incredible health care
benefits; and we find plenty of occasions to celebrate. What's not
to love? We are always striving to be better, and we are looking
for employees who share that same mindset. Better people, better
coworkers, better leaders, better creators. Bring your best work
and your full self to the table, and we will do the same. Together,
we can build a better future for our advisors, their clients, our
company, and you. About Commonwealth Commonwealth Financial
Network, Member FINRA/SIPC, a Registered Investment Adviser,
provides a suite of business solutions that empowers more than
2,000 independent financial advisors nationwide. Privately held
since 1979, the firm has headquarters in Waltham, Massachusetts;
San Diego, California and a new office opening soon in greater
Cincinnati, Ohio. Turning our advisors into raving fans starts by
doing the same for our employees. We foster an environment of
excellence, growth, rewards, and fun in equal measure, which has
earned us 44 Best Place to Work awards. The Fine Print We care
about your online safety as a prospective employee and encourage
you to exercise caution when responding to job postings online.
Commonwealth will never ask potential hiring candidates to pay or
transfer funds as a precondition of interviews or employment, nor
will we authorize recruiters or agents to do so on our behalf.
Commonwealth is an equal opportunity employer, making intentional
efforts to source talent from all backgrounds.
Min
USD $104,900.00/Yr.
Max
USD $125,000.00/Yr.
Compensation details: 104900-125000
PIda4774f5c8fc-37248-35676689
Keywords: Commonwealth Financial Network LLC, Hamilton , Manager, Compliance, Executive , Cincinnati, Ohio
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