Senior Compliance Specialist
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Overview
Job Description
Responsibilities
" Maintain and update compliance manuals, policies, and supervisory procedures " Support compliance testing, monitoring, branch inspections, and internal audits " Research and communicate regulatory updates and industry changes " Assist with compliance training and promote a strong compliance culture " Track corrective actions and support resolution of compliance issues " Partner with internal teams on compliance projects and regulatory initiatives " Develop and enhance compliance controls and monitoring processes
Qualifications
" 5 10+ years of compliance experience within Financial Services or an Independent Broker/Dealer environment " Strong knowledge of Client and SEC regulations, including correspondent clearing and custody relationships " Excellent communication, analytical, and organizational skills " Ability to manage multiple priorities in a fast-paced environment " Bachelor's degree preferred in Finance, Business, or related field
Required Licenses
" SIE " Series 7 " Series 63 or 66 " Series 24 (required)
Automate your job search with Sonara.
Submit 10x as many applications with less effort than one manual application.
