Posted By
Posted in
Banking & Finance
Job Code
1323216
PFB JD.
Primary Skills : Good work exp in Banking Regulation, Bank broker, Bank dealers and Stock market. Any market product - Derivates/ Fixed Income/ Mutual Fund/ Money Market/ Advisory Market/ foreign Exchange. Good understanding of the stock market and regulation. Finra ( Financial Regulatory Authority)understanding.
US Shift
Location - Hyderabad
In this role, you will :
- Establish, implement and maintain risk standards and programs to drive compliance with federal, state, agency, legal and regulatory and Corporate Policy requirements
- Oversee the Front Line's execution and challenges appropriately on compliance related decisions
- Support the oversight or monitoring of a risk-based compliance program
- Provide support in developing and overseeing standards with some business and functional knowledge
- Provide compliance risk insight and support projects and initiatives with low to moderate risk for a business line or functional area
- Work with a business unit, a defined set of rules and regulations on low to moderate risk compliance matters
- Support the reporting, escalation, and timely remediation of issues, deficiencies or regulatory matters regarding compliance risk management
- Provide direction to the business on developing corrective action plans and effectively managing regulatory change
- Provide support in reporting findings and drafting recommendations to management
- Support and implement initiatives with low to moderate risk
- Interact with team to support risk oversight and monitoring
- Manage and ensure accuracy of data
- Troubleshoot system issues to determine root cause
- Research and implement new regulatory rules and manage other Registration Team related projects
- Identify and recommend opportunities for process improvement and risk control development
- Establish and maintain effective relationships with various teams
- Make decisions and resolve issues to meet business objectives
- Interpret policies, procedures, and compliance requirements
- Collaborate and consult with peers, colleagues and managers to resolve issues and achieve goals
- Interact with internal customers
- Receive direction from leaders and exercise independent judgment while developing the knowledge to understand function, policies, procedures, and compliance requirements
Required Qualifications, US: 2+ years of Compliance experience, or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education
Required Qualifications, International: Experience in Compliance, or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education
Desired Qualifications:
- Knowledge of FINRA, SEC & OCC (RSNIP) advertising rules.
- Successfully completed FINRA Series 7 exam to qualify for immediate registration (or FINRA recognized equivalents)
- FINRA Series 24 or 9/10 exam to qualify for immediate registration (or FINRA recognized equivalents) preferred.
- Experience in reviewing advertising/promotional material.
- Excellent writing and editorial skills.
- Solid knowledge of products offered through Broker Dealers, RIA's and/or Bank Trust Departments
- Proven ability to understand and communicate effectively about technical, complex compliance standards and policies.
- Strong administrative and organizational skills in a deadline-driven environment.
- Ability to work independently and also as part of a high-functioning, collaborative team of professionals, including the ability to form relationships at all levels of the organization.
- Strong ability to prioritize and handle multiple tasks and to be detail oriented in a fast-paced, deadline driven environment.
- Knowledge of emerging communications technology, both for working with colleagues, and for assessing the use of marketing content in emerging communications channels, including social media.
Job Expectations :
- This candidate will review, analyze and approve marketing and promotional communications with the public, as well as certain internal communications, to ensure compliance with regulatory requirements, internal guidelines and other risk related issues. An applicant should have deep product expertise, along with knowledge of the relevant regulations needed to review a variety of material which could include, but is not limited to; product fact sheets, general market letters, seminar invitations and web content.
- As a member of the Compliance team, this individual will be responsible for review of traditional advertising, marketing and promotional literature, as well as electronic communications and social media.
- Daily review of promotional material, diplomatically communicate required edits, explain the regulatory basis for the changes and be creative in suggesting alternatives to any problematic language. Work with assigned business units to help them produce strong, effective and compliant communications. Assist with the processing of heavy workflow of communications for the firm's broker/dealer and investment advisory business.
- Proactively stay current with applicable securities laws, rules, and regulations with respect to the regulation of financial product advertising and marketing
- Perform special projects and other duties as assigned.
Didn’t find the job appropriate? Report this Job
Posted By
Posted in
Banking & Finance
Job Code
1323216