Regulatory Operations Consultant

Posted Yesterday
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Springfield, MA, USA
Hybrid
64K-84K Annually
Junior
Big Data • Fintech • Information Technology • Insurance • Financial Services
We help people secure their future and protect the ones they love.
The Role
Reviews trade activity, money movement, and documentation across brokerage and RIA platforms to ensure compliance with firm policies, supervisory controls, FINRA, SEC, and state regulations. Identifies risks and process improvements, strengthens internal controls, supports regulatory reporting, provides guidance and training, and partners with business leaders to mitigate financial and regulatory risk.
Summary Generated by Built In
Regulatory Operations Consultant
Supervisory Control Procedures Team
Full-time / Springfield, MA
The Opportunity
As a Regulatory Operations Consultant, you'll evaluate exception reporting, ensure compliance with supervisory controls, and help uphold state, FINRA, and SEC standards. You'll document your findings, partner across multiple business areas, and build relationships with field leaders who rely on your expertise. This is a high-impact role where your curiosity, judgment, and analytical skills will directly influence the firm's risk posture. You'll join a team that actively invests in your growth, supports your ambitions, and wants to see you reach your career goals.
If you're energized by solving complex problems, digging into details, and playing a direct role in protecting a firm from financial and regulatory risk, this is the role for you!
The Team
You'll join the Supervisory Control Procedures Team-a collaborative, multi-tiered group dedicated to protecting the firm and its partners. The team is known for:
  • Strong accountability and attention to detail
  • Agility in navigating evolving regulatory demands
  • Inclusive teamwork and open communication
  • Courage to ask tough questions and take on difficult issues
  • Continuous learning and strong business acumen

The Impact
In this role, you'll be a key player in ensuring the firm remains compliant, efficient, and well-protected from regulatory risk. You'll use your judgment, research skills, and problem-solving mindset to:
  • Review trade activity, money movement, and documentation across brokerage and RIA platforms
  • Ensure all activity aligns with firm policies, supervisory controls, and industry regulations
  • Strengthen internal controls and help prevent violations before they occur
  • Identify process improvements and enhance back-office procedures
  • Provide clear, confident guidance to internal and external partners
  • Deliver training as needed and serve as a resource across the business
  • Navigate difficult issues professionally and proactively
  • Balance attention to detail with an understanding of the broader regulatory landscape

You'll have the opportunity to make meaningful improvements, recommend operational efficiencies, and contribute to a culture of compliance, integrity, and continuous improvement.
The Minimum Qualifications
  • High School Diploma
  • Series 7 & 24 at time of application or must obtain within 6 months of hire date
  • 2+ years experience in the financial service industry OR 1+ year of financial service industry experience with SIE completed
  • If candidate does not currently hold FINRA Licenses at time of application, then due to the nature of this position, as a part of our background check process, candidates must be able to pass a non-registered fingerprint background check to qualify as a fingerprinted person under FINRA

The Ideal Qualifications
  • Bachelor's Degree
  • Series 7 and 24 at time of application
  • Compliance or supervision experience with a FINRA registered Broker-Dealer and/or SEC Registered Investment Advisor
  • 1+ year of experience with policies and provisions as it relates to brokerage products, state and federal law
  • Critical Thinking: thoughtful process of analyzing data and problem-solving data to reach a well-reasoned solution
  • Ability to partner effectively to drive our culture and execute on our common goals
  • Appreciation and understanding of the financial services industry in order to make sound business decisions
  • Able to use knowledge and skills to monitor advisory and brokerage assets, complete regulatory reporting and assist the firm in maintaining proper compliance with company policy, FINRA, SEC, and state regulatory rules with limited supervision
  • Ability to identify opportunities for operational efficiency and productivity improvements to mitigate financial, reputational and regulatory risk and to update processes with management approval
  • Self-motivated and has personal accountability to achieve career development by leveraging resources available

What You Can Expect at MassMutual
MassMutual offers the opportunity to do meaningful work within a purpose-driven organization that values long-term impact over short-term outcomes. In this role, you can expect:
  • Clear areas of ownership and accountability, with work that connects directly to company and customer outcomes
  • A collaborative environment where perspectives are welcomed
  • Access to learning, development, and internal networks that support continuous growth and skill-building over time
  • Employee-led communities and forums that foster connection, learning, and inclusion across the organization
  • A culture grounded in integrity, responsibility, and stewardship-supported by a company with a strong legacy and a future-focused mindset

#LI-JLH3
MassMutual is an equal employment opportunity employer. We welcome all persons to apply.
If you need an accommodation to complete the application process, please contact us and share the specifics of the assistance you need.
California residents: For detailed information about your rights under the California Consumer Privacy Act (CCPA), please visit our California Consumer Privacy Act Disclosures page.
Salary Range: $64,100-$84,100

Skills Required

  • High School Diploma
  • Series 7 and Series 24 licenses at application or ability to obtain them within six months of hire
  • At least two years of financial services industry experience, or at least one year with the Securities Industry Essentials exam completed
  • Ability to pass a non-registered fingerprint background check and qualify as a fingerprinted person under FINRA
  • Bachelor's degree
  • Compliance or supervision experience with a FINRA-registered broker-dealer or SEC-registered investment adviser
  • At least one year of experience with brokerage products, policies, and state and federal law
  • Critical thinking, data analysis, and problem-solving skills
  • Ability to partner effectively across business areas
  • Knowledge of the financial services industry and regulatory requirements
  • Ability to monitor advisory and brokerage assets, complete regulatory reporting, and maintain compliance with company policies, FINRA, SEC, and state regulations with limited supervision
  • Ability to identify operational efficiency improvements and mitigate financial, reputational, and regulatory risk
  • Self-motivation and personal accountability for career development

What the Team is Saying

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The Company
HQ: Springfield, MA
6,000 Employees
Year Founded: 1851

What We Do

Since 1851, MassMutual’s commitment has always been to help people protect their families, support their communities, and help one another. This is why we want to inspire people to Live Mutual. We’re people helping people. Together, we’re stronger.

Why Work With Us

MassMutual has the financial security and stability of a 170+ year old company, with the culture and energy of a startup. We work every day with the customer front of mind to build the best digital experience in the industry.

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MassMutual Offices

Hybrid Workspace

Employees engage in a combination of remote and on-site work.

We believe in capitalizing on the best of being together in our offices as well as personal flexibility. Our workplace philosophy puts office collaboration first, combined with flexibility to work remotely.

Typical time on-site: 3 days a week
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HQSpringfield, MA
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Boston, MA
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New York, NY
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