Parsonex Securities, Inc.&Parsonex Advisory Services, Inc.|Englewood, Colorado
Job Type:Full-Time, Monday–Friday
Employer:Parsonex Enterprises, Inc.
Registered With:Parsonex Securities, Inc. (broker-dealer) and Parsonex Advisory Services, Inc. (registered investment adviser)
Reports To:Chief Compliance Officer
Overview
Parsonex Enterprises is seeking an experienced, licensed Compliance Analyst to support its affiliated financial services firms — Parsonex Securities, Inc., a registered broker-dealer, and Parsonex Advisory Services, Inc., a registered investment adviser — from our office in Englewood, Colorado. The individual is employed by Parsonex Enterprises and its affiliates, and holds their principal and representative registrations with the applicable regulated entities. This is a hands‑on execution role for a licensed compliance professional who can manage direct responsibility for compliance functions in a mid‑sized, fast‑growing firm.
Reporting to and working closely with the Chief Compliance Officer, this role executes the compliance program day to day across both firms — running the recurring compliance calendar, completing regulatory filings, conducting periodic reviews, and holding principal‑level approval authority. A technology‑enabled compliance program supports the role with structured workflows and supervisory visibility, enabling an efficient, execution‑focused approach to the work.
Primary Functions
Regulatory filings & registration
- Prepare and file regulatory forms, amendments, and other filings as required.
- Monitor and maintain CRD/IARD record accuracy.
- Conduct onboarding workflows for registered and non‑registered individuals of the firm.
- Draft and manage responses to regulatory inquiries and requests.
Transaction approval & review
- Principal approval of new business — independently review and approve advisory and brokerage new‑account submissions for completeness, accuracy, suitability, best interest, and conduct under the firms’ standards and within the scope of the required principal registrations.
- Conduct periodic review of client correspondence, communications, advertising, and marketing materials under applicable FINRA and SEC requirements, including the SEC Marketing Rule.
Program execution & operations
- Manage and adhere to the firms’ compliance calendar — tracking and completing scheduled, deadline‑based obligations across both entities so nothing lapses.
- Execute the firms’ compliance program using its technology‑enabled workflows, maintaining supervisory records and documentation to firm standards.
- Periodically review customer accounts and maintain current, accurate files consistent with SEC Rule 204-2 and FINRA recordkeeping requirements.
- Support operations and finance by handling representative and internal inquiries as allowable under the firms’ written supervisory procedures.
- Assist various adjacent departments in procuring records and information during financial audits, examinations, and regulatory requests.
- Serve as a knowledgeable point of contact for representatives on compliance and registration questions, and elevate exceptions and judgment items to the CCO.
Qualifications
- Required Licenses:Series 6, Series 26, and Series 65/66. The Series 51 (Municipal Fund Securities Limited Principal) is required as a condition of employment — candidates who do not already hold it must obtain it within 90 days of offer acceptance.
- Direct experience in broker‑dealer and/or RIA compliance and operations.
- Working familiarity with Regulation Best Interest, Form CRS, FINRA Rules 2330, 3110, and 3230, the SEC Marketing Rule, and SEC Rule 204-2 recordkeeping.
- Client service experience preferred — an understanding of the client perspective is valued.
Skills & Attributes
- Sound independent judgment and documentation discipline suited to holding principal‑level approval authority.
- Ability to proactively identify process improvements and to own, prioritize, and manage projects to completion.
- Technical problem‑solving and workflow‑management capability across multiple systems.
- Excellent interpersonal skills, with the ability to build productive relationships with team members, advisors, clients, and peers.
- Strong attention to detail, organization, and a results‑oriented approach to resolving compliance issues.
- A team player who thrives in a fast‑growing small‑office environment and contributes to a dynamic culture.
We Offer
- A dynamic, supportive, and collaborative work environment.
- Meaningful ownership of a core compliance function with room to grow.
- Full benefits package and a healthy work‑life balance.