Regulatory Operations Analyst (Non-Financial Regulatory Reporting)

Revolution Technologies

Southfield (MI)

Hybrid

USD 90,000 - 130,000

Full time

14 days+
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Benefits offered by this job

Medical insurance
Vision insurance
Disability insurance

Job summary

A consulting firm is seeking a Regulatory Operations Analyst to support compliance with non-financial regulatory reporting requirements. This hybrid role involves collaboration with various teams and responsibilities like validating reports and interpreting regulations. Ideal candidates have regulatory experience and strong analytical skills. The position offers opportunities for extension based on performance and attendance.

Qualifications

  • Experience with non-financial regulatory reporting.
  • Understanding of financial markets and trading lifecycle.
  • Proficiency in Microsoft Office including Excel, Access, and PowerPoint.
  • Back office brokerage operations processes and procedures; trading lifecycle (orders, executions, allocations).
  • Knowledge of FINRA, SEC and Exchange trading rules; ability to interpret applicable regulations.
  • Ability to create procedures and process documentation; evaluate processes and identify risks and controls.
  • Experience recommending actions to resolve gaps or mitigate risk.
  • Microsoft Office (Excel, Access, PowerPoint) and other software proficiency.
  • Strong written and verbal communication; ability to engage and influence business partners.
  • Ability to manage multiple tasks with interruptions and changing priorities.
  • Quick understanding of complex subject matters; strong critical thinking in a dynamic environment.

Responsibilities

  • Produce, validate and submit non-financial regulatory reports.
  • Collaborate with business units such as Trading and Compliance.
  • Plan and execute remediation efforts for identified issues.
  • Compile operational information for internal and external auditors (FINRA, SEC).
  • Plan and execute remediation efforts for identified issues and assist in milestones for corrective actions.
  • Assist in designing and executing testing strategies; may lead testing and draft risk-mitigation recommendations.

Skills

Experience with non-financial regulatory reporting requirements
Understanding of financial markets and regulatory terminology
Back office brokerage operations processes and procedures
Knowledge of FINRA, SEC and Exchange trading rules
Ability to create procedures and process documentation
Experience recommending actions to resolve gaps or mitigate risk
Microsoft Office proficiency
Strong written and verbal communication
Ability to manage multiple tasks
Strong critical thinking in a dynamic environment

Tools

MS Office

Job description

Overview

Regulatory Operations Analyst (Non-Financial Regulatory Reporting) – Hybrid role. Local candidates only. 3 days in office, 2 days work from home per week. Laptop provided. Opportunities for extension or conversion based on attendance, performance, and availability of an FTE opening.

The Regulatory Operations Analyst plays a key role in supporting the firm’s compliance with non-financial regulatory reporting requirements. Leveraging advanced knowledge and experience, this role is responsible for monitoring the possession and control of client assets, preparing and validating regulatory reports, and ensuring adherence to applicable industry rules and firm policies. The team is seeking candidates with relevant experience in Trading or Compliance to provide context for regulatory obligations and operational risk. The position collaborates with management to identify and mitigate risks and contributes to interpreting and implementing new or evolving regulatory requirements, with regular interaction with internal stakeholders including compliance teams and internal auditors to investigate observations and ensure reporting integrity.

Responsibilities
  • Produce, validate and submit non-financial regulatory reports (e.g., Consolidated Audit Trail (CAT), Electronic Blue Sheets (EBS), Large Options Position Report (LOPR), etc.).
  • Collaborate with business units (Brokerage Operations, Trading, Compliance, IT, Legal).
  • Interpret new or changing securities rules, regulations, policies or laws; update processes to ensure compliance and update departmental procedures.
  • Compile operational information for internal and external auditors (e.g., FINRA, SEC) with limited oversight.
  • Plan and execute remediation efforts for identified issues with minimal guidance; assist in formalizing milestones to implement corrective action plans.
  • Assist in designing, planning, and executing testing strategies; under supervision, may lead testing efforts and communicate issues to management; draft risk-mitigation recommendations.
Qualifications / Skills
  • Experience with non-financial regulatory reporting requirements.
  • Understanding of financial markets and regulatory terminology.
  • Back office brokerage operations processes and procedures; trading lifecycle (orders, executions, allocations).
  • Knowledge of FINRA, SEC and Exchange trading rules; ability to interpret applicable regulations.
  • Ability to create procedures and process documentation; evaluate processes and identify risks and controls.
  • Experience recommending actions to resolve gaps or mitigate risk.
  • Microsoft Office (Excel, Access, PowerPoint) and other software proficiency.
  • Strong written and verbal communication; ability to engage and influence business partners.
  • Ability to manage multiple tasks with interruptions and changing priorities.
  • Quick understanding of complex subject matters; strong critical thinking in a dynamic environment.
Employment type
  • Contract
Job function
  • Finance
Seniority level
  • Mid-Senior level

Benefits: Medical insurance, Vision insurance, Disability insurance

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