Hennion & Walsh
Compliance Ops Associate - FINRA Series 24
Hennion & Walsh, Parsippany, New Jersey, United States
Compliance Ops Associate - FINRA Series 24
Parsippany, NJ
If you are a highly motivated individual and looking to join a vibrant growing company, Hennion & Walsh, Inc. may be the right choice for you.
Overview Hennion & Walsh is an advocate for the individual investor. We believe in putting the client first. At Hennion & Walsh, we know individual investors want a personal relationship with their advisor, and we believe in guiding our clients to achieve their financial goals and dreams through conservative income and growth strategies.
Hennion & Walsh is seeking an experienced Compliance Ops Associate for our growing company. The position will work to develop, enhance and implement internal compliance procedures and must be team oriented and organized. Broad based product and service area knowledge needed to improve process and procedures. The position will work with our compliance team to help execute the firm’s compliance program.
Responsible for the daily oversight of workflow, processing procedures and problem resolution
Supervise and approve operational service and cashiering items, extensions and margin
Resolve trade settlement issues and trade errors
Continually seek out and implement efficiencies and process improvements. Actively analyze problems and implement corrective action.
Work with clearing firm to resolve service issues, identify processing gaps and systemic issues.
Work with compliance team to execute firm’s supervisory policies and procedures.
Assist with regulatory inquiries and exams, including document and data retrieval.
Perform periodic enhanced reviews, specifically related to trade reporting.
Manage day to day workflow and meet department service levels goals.
Qualifications
FINRA Series 7 and Series 24 licenses required
Prior relevant compliance experience with a Broker Dealer or Investment Advisor
Knowledge of FINRA, SEC and other regulatory rules and regulations
Self-motivated, proactive and able to manage multiple priorities
Strong attention to detail
Strong communication and organizational skills
Strong work ethic and hands‑on approach
Ability to multi‑task and prioritizeAbility to exhibit professional demeanor in fast‑paced environment
Competitive compensation
Open and supportive team‑based environment
Full medical and dental benefits
401(k) plan with company match
The base salary range for this position is $50,000–75,000 per year. Please note this role requires in‑person attendance.
Placement in the range will vary based on job responsibilities and scope, candidate’s relevant experience, and other factors.
Base salary is only part of the total compensation package. Depending on the position and eligibility requirements, the position may also include other variable compensation and benefits, including health benefits, 401(k) plan and paid time off.
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If you are a highly motivated individual and looking to join a vibrant growing company, Hennion & Walsh, Inc. may be the right choice for you.
Overview Hennion & Walsh is an advocate for the individual investor. We believe in putting the client first. At Hennion & Walsh, we know individual investors want a personal relationship with their advisor, and we believe in guiding our clients to achieve their financial goals and dreams through conservative income and growth strategies.
Hennion & Walsh is seeking an experienced Compliance Ops Associate for our growing company. The position will work to develop, enhance and implement internal compliance procedures and must be team oriented and organized. Broad based product and service area knowledge needed to improve process and procedures. The position will work with our compliance team to help execute the firm’s compliance program.
Responsible for the daily oversight of workflow, processing procedures and problem resolution
Supervise and approve operational service and cashiering items, extensions and margin
Resolve trade settlement issues and trade errors
Continually seek out and implement efficiencies and process improvements. Actively analyze problems and implement corrective action.
Work with clearing firm to resolve service issues, identify processing gaps and systemic issues.
Work with compliance team to execute firm’s supervisory policies and procedures.
Assist with regulatory inquiries and exams, including document and data retrieval.
Perform periodic enhanced reviews, specifically related to trade reporting.
Manage day to day workflow and meet department service levels goals.
Qualifications
FINRA Series 7 and Series 24 licenses required
Prior relevant compliance experience with a Broker Dealer or Investment Advisor
Knowledge of FINRA, SEC and other regulatory rules and regulations
Self-motivated, proactive and able to manage multiple priorities
Strong attention to detail
Strong communication and organizational skills
Strong work ethic and hands‑on approach
Ability to multi‑task and prioritizeAbility to exhibit professional demeanor in fast‑paced environment
Competitive compensation
Open and supportive team‑based environment
Full medical and dental benefits
401(k) plan with company match
The base salary range for this position is $50,000–75,000 per year. Please note this role requires in‑person attendance.
Placement in the range will vary based on job responsibilities and scope, candidate’s relevant experience, and other factors.
Base salary is only part of the total compensation package. Depending on the position and eligibility requirements, the position may also include other variable compensation and benefits, including health benefits, 401(k) plan and paid time off.
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