We are currently looking to hire a Senior Compliance Analyst within the Surveillance Department, which is a part of LPL’s Governance, Risk & Compliance (GRC) organization.
The Senior Compliance Analyst, Surveillance will be responsible for the monitoring and oversight of financial advisor sales activities and related supervision of those activities.
• Reviewing exception reports to detect and address potential sales practice and related supervisory concerns, including active trading, switching, account concentrations, account losses, advisor credit monitoring, and other concerning patterns displayed in end-client account activity in a variety of products
• Performing comprehensive risk reviews and sales practice investigations of a complex and highly sensitive nature:
o Synthesize and assess the “risk profiles” (business mix, sales practices, credit, disciplinary history, customer complaints, supervisory record, etc.) of advisors and OSJs;
o Investigate specific instances of questionable sales activity or deficient supervision
o Recommend an appropriate level of oversight or corrective action to management and the firm’s respective risk management committees
Other Job Duties:
• Performing other duties as assigned, including occasional special projects, account-related research, creation of management reporting, etc.
• Maintain awareness of industry news, and changes in the business or regulatory landscape, firm policies, and departmental processes
• Bachelor’s degree in a related field
• 5+ years of relevant experience in compliance required
• Knowledge of SEC, FINRA and other SRO rules; understanding and awareness of legal and regulatory landscape are all required
• Securities licenses strongly preferred (Series 7, Series 24)
• Experience in performing complex research, reviews and investigations
• Ability to meet deadlines in a fast paced environment
• Meticulous attention to detail
• Highly analytical with excellent research skills
• Strong writing skills, verbal communication and presentation skills, and ability to interface with senior management
• Proficiency in all Microsoft applications, most notably in Excel, Access and SharePoint
LPL Financial, the nation’s largest independent broker/dealer since 1996* and the fourth largest broker/dealer overall, serves as an enabling partner to more than 14,000 independent financial advisors and approximately 700 financial institutions. Since its formation decades ago, LPL has focused on one primary mission -- enabling independent financial advisors to bring objective and un-biased financial advice to millions of Americans.
Headquartered in Boston, San Diego, and Fort Mill, and powered by more than 3,300 client-centric employees, LPL is financially strong and growing.
If you join LPL, you will join a culture that believes in delivering a world-class client experience and looks to all employees to contribute to that goal by sharing their creativity, experience, and passion for continuous improvement. As a destination of choice, our top priorities are growth and development, social responsibility, and financial health for our employees.
We offer competitive compensation and industry leading benefits, including a wellness facility with onsite fitness classes, healthy meal choices, and a walk-in clinic. We support employee financial health through a 401k match, ESPP, and employee discounts. Work/life balance is our foundation and is supported through paid holidays, and paid time off (including time to volunteer). We foster a diverse work environment through Employee Resource Groups and diverse strategic partnerships.
Join the LPL team and help us make a difference by turning life’s aspirations into financial realities. Please login or create an account to apply to this position. Principals only. EOE
*As reported by Financial Planning magazine, June 1996-2017, based on total revenue.