Regulatory Analyst

Revolution Technologies

Southfield (MI)

Hybrid

USD 76,000

Full time

14 days+

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Benefits offered by this job

Medical insurance
Vision insurance
401(k)
Disability insurance

Job summary

A leading talent solutions firm is seeking a Regulatory Operations Analyst in Southfield, MI, to manage regulatory compliance and reporting. The hybrid role requires a bachelor's degree and at least two years of experience in financial services, alongside SIE and Series 99 licenses. Essential tasks include monitoring compliance, collaborating on operational improvements, and compiling reports. This opportunity offers a dynamic work environment with an hourly rate of $38.00 and a contract of 6+ months.

Qualifications

  • Bachelor's degree required with 2+ years in accounting or financial services.
  • Knowledge of regulatory terminology and compliance required.
  • Must possess SIE and Series 99 licenses.

Responsibilities

  • Monitor compliance with client asset regulations.
  • Compile and review regulatory reporting information.
  • Develop operational performance reports and trend analysis.

Skills

Knowledge of brokerage operations
Quality control reviews
Financial/brokerage rules interpretation
Microsoft Office 365 proficiency

Education

Bachelor's Degree in related field

Tools

Excel
Access
PowerPoint

Job description

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Senior Technology Recruiter @ Revolution Technologies | Connecting Extraordinary Talent

******** NO SUPPLIER RESUMES PLEASE. ********

Job Title: Regulatory Operations Analyst

*Must live or work within 50 miles of Southfield, MI*

This position follows a hybrid schedule – In office days 3 per week, averaging 12 days per month in applicable Corporate Office.

Contract: 6+ months -- Opportunity for extension or conversion based on attendance/performance.

Laptop provided.

Hourly Rate: $38.00/hr. W-2

Mandatory Requirements:

  • Bachelor's Degree (B.A.) in related field
  • Minimum of two (2) years' experience in the areas of accounting, banking and/or financial service
  • Licenses/Certifications: SIE and Series 99

Job Summary:

  • Under minimal supervision, uses intermediate knowledge and skills obtained through experience and/or training to monitor possession and control of client assets, complete regulatory reporting and assist the firm in maintaining proper compliance with industry/firm rules and regulations.
  • Collaborates with management to identify opportunities for operational efficiency and productivity improvements to mitigate financial, reputational and regulatory risk.
  • Assists and provides input in the interpretation of new and changing rules and/or regulations.
  • Works with management to update processes as well as updating departmental procedures with guidance from Supervisor/Manager.
  • Recommends solutions to problems.
  • Contact with internal customers as well as internal auditors as required to research, identify and resolve observations.
  • Assist in the development and coordination of periodic operational performance reports/scorecards including trend analysis and recommended strategies with guidance from Supervisor/Manager.

Essential Duties and Responsibilities

  • Monitors daily securities possession or control requirements to ensure compliance with the Customer Protection Rule (15c3-3); proactively communicates deficits and any identified issues to the LOBs to reduce firm deficits.
  • Compiles and reviews regulatory reporting information used for Weekly Reserve and Monthly FOCUS reporting; ensures that reporting information is compliant with applicable industry regulations (e.g. 15c3-3, 15c3-1).
  • Monitors operational suspense and clearance accounts, inventory, and dealer accounts to ensure compliance with firm accounting policies/industry regulations; escalate identified issues to Supervisor/Manager and the relevant line of business.
  • Assists and provides input in the interpretation of new/changing securities rules, regulations, policies or laws; updates processes for compliance with rules and regulations, as well as departmental procedures.
  • Compiles operational account information for internal and external auditors (e.g. FINRA, SEC) with limited oversight. Plans and executes remediation efforts for any identified issues with minimal guidance/support from Supervisor/Manager; assists the Manager or Senior Analyst in formalizing milestones needed to implement corrective action plans for any identified issues.
  • Identifies opportunities for operational efficiency and productivity improvements to mitigate financial, reputation and regulatory risk; suggests solutions to Supervisor/Manager.
  • Assist Manager or Senior Analyst in the design, planning, and execution of testing strategies; under direct supervision, may lead the testing efforts of other analysts; communicate any issues to management that require immediate attention in a clear and concise manner; draft recommendations to mitigate risk.
  • Assists in the development and coordination of periodic operational performance reports/scorecards for Management, including trend analysis and recommended strategies.
  • Performs daily and weekly quality review of reconciliation specialist's work as needed to ensure reconciliations are accurate, complete and that discrepancies have been resolved in a timely manner.
  • Coordinates/participates in the quarterly examination and verification of physical securities held on premises.
  • Participates in projects and performs other duties and responsibilities as assigned.

Skills: Knowledge, Skills, and Abilities:

Knowledge of:

  • Brokerage operations and how functions performed by Operations Control align with business partners financial industry rules, regulations and laws relating to processes performed by Operations Control Regulatory terminology, concepts, and guidance.
  • Brokerage industry and financial markets accounting principles/concepts, concepts, practices and procedures for testing operational systems/processes.

Skills in:

  • Conducting quality control reviews for functions performed within Operations.
  • Creating procedure and business process workflow documentation.
  • Evaluating processes/systems and identifying risks and controls; recommending appropriate actions/revisions to resolve any identified gaps or mitigate risk.
  • Executing test strategies, methodologies and analysis.
  • Operating standard office equipment and using required Microsoft Office 365 software (Excel, Access, PowerPoint) and other software applications.

Ability to:

  • Proactively engage, collaborate and influence business partners in the adoption of identified opportunities to create or enhance a control or process.
  • Support efforts in the evaluation or implementation of a control or process.
  • With minimal guidance, interpret financial/brokerage rules, regulations and security laws; ensure all industry rules, regulations, and security laws that apply to a process are correctly followed.
  • Manage multiple tasks with changing priorities; meet deadlines in a fast-paced environment with constant interruptions; adapt to a constantly changing environment.
  • Demonstrate strong numerical aptitude and use critical thinking when solving operational problems.
  • Provide a high level of customer service.

Educational/Previous Experience Requirements:

  • Bachelor's Degree (B.A.) in related field and minimum of two (2) years' experience in the areas of accounting, banking and/or financial service

Licenses/Certifications: SIE and Series 99 required

Seniority level
  • Seniority level
    Associate
Employment type
  • Employment type
    Contract
Job function
  • Job function
    Accounting/Auditing

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Inferred from the description for this job

Medical insurance

Vision insurance

401(k)

Disability insurance

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