Associate Regional Director - Supervision Principal

Posted 2 Days Ago
Be an Early Applicant
2 Locations
In-Office
Mid level
Financial Services
The Role
Provide supervisory guidance and compliance support to financial professionals and offices, review supervisory reports and licensing matters, oversee direct reports, support recruiting and supervisory visits, process exception reporting, troubleshoot stakeholder issues, and participate in projects to improve processes while ensuring alignment with firm policies and regulatory expectations.
Summary Generated by Built In
Job SummaryWe are seeking an Associate Regional Director to join our Advocacy and Supervision team. In this role, you will support financial professionals and their offices by providing practical supervisory guidance, relationship management, and compliance-focused support. You will partner with Advocacy and Supervision leadership to help ensure assigned activities align with firm policies, procedures, and regulatory expectations while contributing to a collaborative, service-oriented team environment. This opportunity is ideal for someone who brings sound judgment, strong communication skills, and the ability to balance flexibility, accountability, and compliance in a fast-paced broker-dealer environment.Key Deliverables and Responsibilities
    • Serve as an Office of Supervisory Jurisdiction (OSJ) designee by reviewing and approving correspondence, securities activities, licensing items, Outside Business Activity reports, daily trade blotters, and other supervisory reports for assigned regions.

    • Supervise and collaborate with direct reports, including oversight of securities activities, Special Supervisory Plans, licensing requirements, sales activity, policy communication, and follow-up related to firm procedures.

    • Support the recruiting and financial professional approval process by reviewing complex business model structures, U4 matters, special exceptions, and other items requiring supervisory judgment.

    • Support the supervisory visit process by gathering relevant information, documenting follow-up items, and helping ensure visit-related standards are met.

    • Respond to requests for assistance from existing financial professionals, new financial professionals, recruits, staff, sponsor partners, and other stakeholders by troubleshooting issues and identifying practical solutions.

    • Process exception reporting, document trends, and elevate insights for review by Advocacy and Supervision leadership.

    • Maintain working knowledge of key industry topics, internal programs, departmental procedures, and relevant firm resources.

    • Support and collaborate with direct reports to review supervisory activities and practice efficiency for those under their supervision.

    • Participate in special projects, committees, working groups, and firmwide initiatives that advance strategic goals and process improvements.

    What We Are Looking For
    • Minimum of 4 years of experience in FINRA compliance, securities supervision, or a related broker-dealer supervisory function.

    • Active FINRA Series 7 and Series 24 registrations required.

    • Series 51, Series 53, and/or Series 4 registrations preferred.

    • Strong understanding of supervisory review, regulatory documentation, licensing requirements, correspondence review, exception reporting, and escalation practices.

    • Proficiency with Microsoft Office and Adobe Acrobat required; experience with Tableau or similar reporting tools preferred.

    • Demonstrated ability to adopt technology, use data and reporting tools effectively, and incorporate AI or automation responsibly to improve daily work activities.

    Location: Phoenix, AZ, or Fairfield, IA – Hybrid in-office 3 days/week

    Why Cambridge?

    Cambridge has competitive benefits and promotes a work/life balance to encourage individual success. 

    • Premium benefit package including medical, vision, dental, life and long-term disability insurance

    • Vacation/sick time

    • 401K retirement plan with company matching program

    • Eleven paid holidays

    You can find more details about our comprehensive benefits package here. 

    Company Overview:

    At Cambridge, our purpose is simple: to make a difference in the lives of our financial advisors, their clients, and our associates. Founded in 1981, we have 45 years of experience supporting independent financial advisors with industry-leading tools, compliance, and transition services. Guided by our core values—integrity, commitment, flexibility, and kindness—we put financial advisors first in every decision we make.

    Cambridge is an internally controlled, growth-focused independent broker-dealer, ranked among the largest and fastest-growing firms in the industry. With home offices in Fairfield, Iowa, and Phoenix, Arizona, and a nationwide reach, our 900 associates maintain a 4:1 advisor-to-associate ratio to ensure personalized service.

    Our community of over 4,000 producing financial advisors includes diverse business models—RIA, corporate RIA, hybrid, fee-only, and brokerage—and offers a broad selection of investment solutions with no proprietary products.

    For further information about Cambridge, please visit https://www.joincambridge.com/

    Skills Required

    • Minimum of 4 years of experience in FINRA compliance, securities supervision, or a related broker-dealer supervisory function
    • Active FINRA Series 7 registration
    • Active FINRA Series 24 registration
    • Series 51, Series 53, and/or Series 4 registrations
    • Strong understanding of supervisory review, regulatory documentation, licensing requirements, correspondence review, exception reporting, and escalation practices
    • Proficiency with Microsoft Office
    • Proficiency with Adobe Acrobat
    • Experience with Tableau or similar reporting tools
    • Demonstrated ability to adopt technology, use data and reporting tools effectively, and incorporate AI or automation responsibly
    Am I A Good Fit?
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    The Company
    HQ: Cambridge
    1,096 Employees
    Year Founded: 1981

    What We Do

    Do you control your journey? Are you independent? At Cambridge, we are business innovators, financial planners, wealth advisors, business builders, next generation, retirement planners, visionaries, investment advisors, succession planners, entrepreneurs, and business owners. We believe clients come first, and we all need the freedom to customize our businesses, our way, to best serve our clients. Visit joincambridge.com to learn more. We believe every journey is important. We are independent. We are Cambridge. Visit youcontrolthejourney.com to see more about who we are, what we do, and why we do it. Securities offered through Cambridge Investment Research, Inc., a broker-dealer, Member FINRA/SIPC and Investment Advisory Services offered through Cambridge Investment Research Advisors, Inc., a Registered Investment Adviser. Both are wholly-owned subsidiaries of Cambridge Investment Group, Inc. Cambridge and its predecessor broker-dealer was founded in 1981.

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