Job Responsibilities:
- Partner closely with Legal to review Court Order and Levy (COAL) restrictions
- Serve as a Subject Matter Expert “SME” resource for peers, managers & internal business partners for COAL related matters
- Act as an owner of the end-to-end COAL restriction process, owning research and other tasks from start to finish
- Identify, escalate, and drive solutions for issues, risks, and decisions with business partners
- Understand applicable legal obligations and documentation use to comply
- Facilitate cross functional working groups to drive decisions needed to confirm appropriate steps are taken
- Participate in regulatory exams, audits, and Controls tests
- Demonstrate superior judgement to identify and mitigate risk impacts
- Foster and maintain strong working relationships
- Guide and influence partners of all levels toward strategic decision making
- Process development, enhancement, and implementation
Required qualifications, capabilities, and skills:
- FINRA Series 7 and 63 (or equivalent) required, in addition to meeting FINRA continuing education requirements
- Strong compliance record prior to position(s) and ability to hold a registration in all 50 states
- Strong business and investment acumen; knowledge of Investment Products, Individual Retirement Accounts (IRAs) etc.
- Ability to understand, investigate, and solve complex problems
- Strong organization, time management, priority management and multi-tasking skills
- Ability to understand internal policies and regulatory requirements
- Comfortable working independently as well as part of a team to meet deadlines
- Ability to maintain strong documentation for internal and external reporting purposes
- Outstanding written and verbal communication and presentation skills
- Ability to forge relationships and build a network throughout the firm
- Extremely organized and detail oriented, demonstrating working knowledge of Windows, Microsoft Office software (Word, Excel, PowerPoint, Outlook, etc.)
Preferred qualifications, capabilities, and skills
- Series 24 preferred
- At least five to ten years of financial services or brokerage experience (regulatory and/or wealth management preferred)
- Bachelor’s degree preferred