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NewEdge Advisors, LLC seeks a Compliance Officer in New Orleans, LA with 2–3 years in securities compliance. Hybrid in-office work; remote options may be considered. You will supervise advisor practices, develop procedures, and partner with the CCO to ensure regulatory obligations are met.
The role requires a Series 65, a Bachelor’s degree, and strong knowledge of regulatory compliance. You’ll interact with broker-dealers and support the firm’s advisory platform.
NewEdge Advisors, LLC (“NEA”) is a rapidly growing wealth management firm, made up of independent financial advisors that all share the belief that every client is unique and deserves more than ordinary service. Our mission is to give established advisors more time and resources to focus on their clients and practices. We do this by striving to make our advisors’ challenges our own. Supporting our advisors is our only success.
We provide independent financial advisors support with transitions, compliance, real estate solutions, human resources, marketing solutions and technology so that they can focus their attention where it matters most, their clients. When advisors choose to become independent, many believe that the best way to run their practice efficiently and profitably is through partnership, economies of scale and shared resources. NEA serves this market.
NEA is looking for a skilled Compliance Officer to assist in the compliance management of the firm in executing the principal review and supervision of advisor practices. This position will work with advisors using their understanding of compliance requirements to meet the firm’s obligations while providing support through collaboration and effective execution of the Officer role. The Compliance Officer will report directly to the Deputy Chief Compliance Officer.
Location:New Orleans, LA working hybrid in our office. Remote candidates may be considered.
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