Compliance Analyst

Posted 8 Days Ago
New York, NY, USA
Hybrid
80K-100K Annually
Junior
Financial Services
The Role
Support the legal and compliance teams by advising business units on policy, preparing FINRA filings, managing personal trading programs, reviewing compliance requests, supporting onboarding/certifications, and improving compliance workflows and systems.
Summary Generated by Built In

The Role:

DC Advisory seeks an analyst to work alongside the Firm’s legal and compliance teams. This position offers the opportunity for broad exposure to a variety of compliance and regulatory workstreams and the chance to be part of larger strategic discussions around the Firm’s compliance processes on a forward-looking basis. The role will play an important part in helping prevent and detect violations of applicable laws, rules, regulatory requirements and Firm policies and is a key part of the Firm’s focus on promoting a high standard of ethics, professionalism and accountability internally. Some of the key workstreams would include:

  • Providing guidance to the business units when issues arise on policies related to the Compliance Manual, Code of Ethics, Restricted List, Anti-Money Laundering/Know Your Customer policies, Outside Business Activities, Gifts/Entertainment, etc.
  • Preparing and submitting regulatory filings with FINRA (such as Form U4s and U5s) and assisting with regulatory examinations, inquiries, investigations and projects in tandem with the legal team, as necessary.
  • Reviewing and approving employee compliance-related requests in the internal compliance system (e.g. gifts/entertainment, political contributions, and private investments).
  • Managing key elements of the personal trading program, including account disclosures, pre-approval requests and reconciliations.
  • Supporting employee onboarding, certifications, disclosures, training requirements, and compliance-related offboarding procedures.
  • Supporting compliance projects, workflow enhancements, and operational improvements across compliance systems and procedures.


Position Requirements:
Requirements:

  • Education: Bachelor’s degree is required
  • Experience: At least two (2) years of experience working in a compliance position and a strong interest in acting in a compliance role within the highly regulated financial services industry
  • Sound judgment, discretion and a strong commitment to confidentiality and professionalism

Preferred:

  • Exposure to regulatory compliance or risk management within the financial services sector
  • Experience with the FINRA regulatory framework

Qualities we seek include:

  • Personal integrity, initiative and leadership qualities
  • Strong multi-tasking and time management skills
  • An unwavering commitment to excellence and a high degree of maturity
  • A high level of initiative, motivation, attention to detail, positive attitude, and the ability to excel in a fast-paced, entrepreneurial, high performance work environment
  • An outstanding academic record
  • The ability to work as part of a team in an environment that demands excellence, time and energy
  • Strong quantitative, verbal and written communication skills; familiarity with the financial services industry a plus
  • Highly proficient with Microsoft Office suite

 

Compensation & Benefits:

  • Salary Range: $80,000 - $100,000 + annual discretionary bonus
  • Medical / Dental / Vision Insurance
  • Long Term Disability, Short Term Disability, Life Insurance
  • Pet Insurance
  • Health Savings Account
  • Retirement Plans (401K)
  • Pre-Tax Commuter Benefits

Working Arrangement:

  • Please note this position will operate in a hybrid capacity with four days on-site in our office (Monday - Thursday) with the option to work from home on Fridays.
Equal Opportunity Employer
This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.

Skills Required

  • Bachelor's degree
  • At least two (2) years of experience in a compliance role
  • Sound judgment, discretion, confidentiality and professionalism
  • Highly proficient with Microsoft Office suite
  • Exposure to regulatory compliance or risk management within financial services
  • Experience with the FINRA regulatory framework
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The Company
HQ: Tokyo
550 Employees

What We Do

DC Advisory is a leading corporate finance advisor with specific expertise in cross-border transactions. As part of an established global business we offer access to over 500 professionals throughout Asia, Europe and the US. DC Advisory provides tailored independent advice on M&A, debt raisings and restructurings. For more information, visit www.dcadvisory.com

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