Sr Communications Compliance Analyst II

Empower

Bengaluru

On-site

INR 1,800,000 - 2,400,000

Full time

14 days+
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Job summary

Empower is seeking a seasoned compliance professional to review and approve complex communications for FINRA/SEC and state regulations, ensuring adherence and records. You will interpret regulatory guidance, file materials, and respond to inquiries, while building expertise in securities and insurance products.

Based in Bengaluru, this full-time role requires 8+ years in financial services compliance, strong analytical skills, and the ability to work independently and meet tight deadlines in a

Qualifications

  • 8+ years of experience in financial services compliance.
  • Strong knowledge of FINRA, SEC and state securities regulations.
  • Bachelor's degree or equivalent in a related field.

Responsibilities

  • Review and approve complex communications for regulatory compliance.
  • File advertising materials with FINRA and maintain required records.
  • Interpret regulations and guidance to determine standards.
  • Respond to inquiries from internal partners about compliance requirements.
  • Develop and maintain subject matter expertise in securities and insurance products.

Skills

Regulatory compliance
Financial services
FINRA/SEC knowledge
Attention to detail
Independent work

Education

Bachelor's degree or equivalent

Tools

Regulatory reporting tools

Job description

Chart your own path and grow your career while helping more customers achieve financial freedom. Empower Yourself.

What You Will Do
  • Review and approve complex public, retail, institutional, and internal communications for compliance with applicable FINRA, SEC, state securities, and insurance regulations and company policies.
  • Interpret FINRA and SEC regulations, regulatory guidance, comment letters, and related materials to determine whether communications meet applicable regulatory standards.
  • File applicable communications materials with FINRA and maintain required advertising and communications records.
  • Respond to inquiries from internal business partners regarding communications compliance requirements, regulatory standards, and the communications review process.
  • Respond to inquiries from FINRA Advertising Regulation and assist with regulatory examinations, requests, and inquiries.
  • Develop and maintain subject matter expertise in communications regulations, securities and insurance products, and company compliance policies.
  • Assist with maintaining and updating compliance policies based on regulatory changes and changes in business activities.
  • Create, maintain, and test procedures and controls related to communications compliance reviews.
  • Prepare quarterly and annual compliance reporting for management and senior leadership.
  • Research and compile documentation required for regulatory examinations and inquiries.
  • Conduct compliance surveillance reviews and investigations as required.
  • Coordinate compliance programs and perform operational or surveillance activities required under SEC and FINRA regulations governing broker-dealer and investment adviser affiliates.
  • Serve as a subject matter expert for assigned products, services, or regulatory requirements and provide training and guidance to other compliance specialists as needed.
  • Educate internal and external business partners on communications review processes, procedures, product requirements, and relevant regulatory or industry changes.
  • Independently manage higher-complexity communications reviews and elevate significant regulatory or compliance risks to appropriate decision makers.
  • Provide guidance or coaching to less-experienced communications compliance team members.
What You Will Bring
  • 8+ years of experience in financial services compliance.
  • Knowledge of registered securities products and applicable communications compliance requirements.
  • Comprehensive understanding of securities and insurance products sufficient to conduct compliance reviews of public communications.
  • Strong knowledge of FINRA, SEC, federal, and state securities regulations and applicable insurance regulations.
  • FINRA Series 6 and 26 registrations or Series 7 and 24 registrations
  • FINRA Fingerprinting required.
  • Strong analytical skills and attention to detail.
  • Ability to interpret regulatory requirements and apply them to complex communications.
  • Ability to complete communications reviews accurately and within established service or turnaround standards.
  • Demonstrated ability to prioritize multiple assignments, manage projects, and meet strict deadlines in a fast-paced environment.
  • Strong written and verbal communication skills.
  • Ability to build effective working relationships with business partners, management, and staff across the organization.
  • Ability to work independently with limited supervision.
  • Bachelors degree or equivalent
What Will Set You Apart
  • Prior experience reviewing retail and/or institutional communications for a broker-dealer, investment adviser, or financial services organization.
  • Experience responding to FINRA Advertising Regulation inquiries or supporting SEC, FINRA, state, or other regulatory examinations.
  • Experience developing, maintaining, or testing communications compliance policies and procedures.
  • Experience serving as a communications compliance subject matter expert and training or mentoring other compliance professionals.
  • Experience managing complex or escalated communications compliance matters.
  • Working knowledge of Empowers business model, products, and services

Disclaimer: This job posting has been aggregated from external source. Role details, content, and availability are subject to change. Applicants are advised to confirm the latest information directly on the company website before applying.

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