Posted 1w ago

Senior Supervision Specialist

@ Cetera Financial Group
Dallas or Saint Cloud
$76k-$121k/yrHybridFull Time
Responsibilities:overseeing representatives, reviewing alerts, conducting reviews
Requirements Summary:3+ years compliance or securities experience; strong knowledge of securities products; FINRA licenses required; excellent communication and tech skills; ability to work in fast-paced environment.
Technical Tools Mentioned:FINRA licenses, Securities products tools
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Job Description

We’re seeking a Supervision Specialist to join our team and help ensure compliance and operational excellence. This role offers an opportunity to leverage your industry expertise as a registered principal while supporting financial professionals and safeguarding firm standards. Ideal candidates are self-motivated with strong critical-thinking and communication skills, detail-oriented, and thrive in fast-paced, time-sensitive environments. A strong understanding of the financial services industry, including products and regulations, is essential. 

 

 

What you will do:

 Reporting directly to the Supervision Team Manager, you will focus on principal review, business oversight, and related tasks, including but not limited to:

  • Directly oversee assigned representatives by reviewing and approving customer new accounts, daily transactions, correspondence review and with Regulation Best Interest.
  • Review alerts related to advisory account exceptions.
  • Conduct customer account reviews to detect potential sales abuses.
  • Discuss compliance concerns or potential violations with the financial representative.
  • Provide education and training to Financial Professionals concerning regulatory, corporate and legal requirements, general product offerings, licensing issues as well as internal processes & procedures.
  • Collaborate with team members, departments, home office staff, and field personnel to provide ad hoc supervision support and promote the firm’s overall objectives.
  • Other duties as assigned, including and/or operations functions.

 

What you need to have:

  • 3+ year of compliance or relevant securities experience 

  • 3+ year of experience and a strong understanding of securities products including stocks, bonds, options, annuities, and mutual funds 

  • FINRA Series 7, 24, 65/66 and 63 required

  • Strong working knowledge of industry products and services (stocks, bonds, mutual funds, UITs, ETFs, REITs, annuities, alternative investments, etc.).

  • Deep understanding of industry rules governing transactions and suitability.

  • Excellent technology and communication skills.

  • Ability to thrive in a fast-paced environment with strong prioritization and multitasking skills.

  • Collaborative team player with a commitment to department and firm success.

  • In-depth knowledge of financial products and services.

  • Great customer service, communication and relationship skills. 

 

Compensation: 

The base annual salary range for this role is $76,000 to $121,000 plus a competitive performance-based bonus.  Base annual salary depends on a wide array of factors, including but not limited to skill set, years and depth of experience, certifications, and location. Base annual salary may also differ significantly due to geography and cost of labor considerations. 

 

 

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