- Promote, protect, and set the tone to reflect the Companys reputation for ethics, integrity, and honesty in all dealings
- Advise and manage a broad spectrum of regulatory obligations and restrictions encompassing business initiatives and product approvals
- Investigate potential violations of industry and firm policies, procedures, and best practices from start to finish, as warranted
- Assist the Chief Compliance Officer with regulatory exams, audits, branch audits, and information requests
- Maintain a thorough and up-to-date understanding of applicable regulations and rule proposals impacting the Firm's business activities and communicate, as needed, to executive management team and financial advisors
- Review and approve advertising, sales literature, public speaking requests, and website and social media content
- Write, update, communicate, and enforce yearly compliance policies and written supervisory procedures
- Serve as Master Account Administrator and Compliance Contact for MSRB
- Respond to state registration inquiries
- Create 13F quarterly reports
- Serve as STC and SMARSH main point of contact and account administrator for regular reporting
- Review and approve New Issues, Secondary Offerings, Annuity, Direct Participation, and Direct Business
- Formulate, review, and update Business Continuity Plans and Privacy Policy annually
- Conduct annual Supervisory and Controls testing
- Perform firm element training and needs analysis and administer Firm Element Training
- Be an active member of the AML Committee & Best Execution Committee
- Help maintain a consultative compliance department
- Serve as primary compliance contact for Commodity Business
- Conduct, implement, and monitor training regarding cybersecurity testing, ethics, and AML
- Perform annual audit of commodities business unit
- Complete annual Vendor Risk Assessment and NFA renewals
- Review, monitor, and approve all deal agreements
- Effectiveness in enacting and enforcing compliance policies and procedures firm-wide
- Thoroughness and accuracy of assigned tasks both firm-wide and within specialties
- Accomplishment of annual organizational, team and personal goals as communicated by management
- Ability to create and maintain positive working relationships with colleagues and provide consultative compliance support
- Minimum 5 years of experience in a regulatory compliance or branch supervisory function for a broker-dealer and/or investment advisor
- Bachelors degree in a business-related field
- Series 7, 66 (or 63 and 65), 24
- Proven ability to multitask, work well under pressure, and make independent decisions
- 10% domestic travel for branch exams and industry conferences; experience with branch exams required
- Competent in the following knowledge areas, skills, and abilities
- Critical & Analytical Thinking
- Inductive & Deductive Reasoning
- Reading & Writing Comprehension
- Active Listening
- Performance Monitoring
- Persuasion & Negotiation
- Knowledge of Securities Regulation and Investment Advisory
- Social Perceptiveness
- Empathy
- Training & Instruction
- Customer Service
- Time Management
- Finance
- Clerical & Administrative Work
- Experience using DocuSign, Adobe Acrobat, Bridger, Red Oak, Red Ed, Smarsh, and LinkedIn
- FINRA Series 3
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Description
Harrison Gray Search has partnered with one of the oldest, most reputable investment advisors in the country to find its next Compliance Officer.
The Compliance Officer is an integral part of the Compliance teams mission to conduct business consistent with the highest standards of commercial honor and just and equitable principles of trade. Occupied by a dependable individual with poise, attention to detail, and leadership abilities, this position is impactful not only in the compliance department but across the firm as they interact with all business units on a consistent basis. This position has a vast range of compliance-related responsibilities in which the Compliance Officers scope of knowledge, communication, teamwork, collaboration, and integrity is paramount to its success.
This full-time role reports to the Chief Compliance Officer. Working hours are Monday - Friday 8:30 AM to 5:00 PM EST. The position is based in the Boston branch office.
Role Responsibilities
General Responsibilities (80%)
Entity/Specialty Responsibilities (20%)
For Orange Futures and Commodities:
For Direct Investments (i.e. Tax-Shelters):
Key Measurements
Minimum Requirements
Preferred Qualifications