Description

You Will

  • Own broker-dealer communications reviews, including pre-approval of retail communications under FINRA Rule 2210 and supervision of internal communications.
  • Own certain registered person oversight responsibilities, including employee supervision.
  • Provide compliance coverage across many other areas within a cross-functional coverage model.
  • Support compliance advisory for product and business priorities.
  • Contribute to governance activities including board reporting, policy maintenance, and compliance program documentation.
  • Assist with regulatory examination and inquiry responses, including document production and narrative drafting.
  • Use AI tools as a core part of daily execution, and also identify opportunities to automate and improve compliance processes, contributing to the team’s migration to an AI-first operating model. 
  • Are you interested in this position?

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