Remote Compliance Examiner – Financial Services

Corebridge Financial

Kansas

On-site

USD 65,000 - 75,000

Full time

3 hours ago
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Benefits offered by this job

Health and wellness benefits
401(k) with company match
Employee assistance program
Matching charitable donations
Volunteer time off
Paid time off

Job summary

Corebridge Financial is seeking an experienced Compliance Examiner for our broker/dealer regulatory team. You will conduct examinations, analyze reports, and educate branch staff on industry rules while traveling up to 50% across the United States.

The role requires FINRA licenses (7 needed; 24 preferred or obtainable within 90 days) and strong communication; MS Office and regulatory knowledge are essential. This is a remote role with competitive compensation.

Qualifications

  • 3+ years Financial Services industry experience - Compliance or Branch Exams experience preferred.
  • Detailed knowledge of the retail brokerage business, investment advisory business, and common investment products - including mutual funds, variable annuities, stocks, and bonds.
  • FINRA Series 7 is required.
  • FINRA Series 24 license is strongly preferred or must be obtained within 90 days of employment. Two testing opportunities will be allowed.
  • Strong verbal and written communications skills required.
  • Proficiency in MS Office, including Word, PowerPoint, Excel and OneDrive.
  • Proficiency in Smarsh and RegEd preferred.
  • High school diploma required; college degree strongly preferred.
  • Must be extremely detail-oriented, investigative and can work independently.
  • Must be able to deliver negative results in a professional manner.
  • Must have the ability to travel up to 50% to visit branch offices.

Responsibilities

  • Conduct approximately 75-125 comprehensive examinations per year.
  • Travel independently up to 50% of the time.
  • Schedule and discuss exam expectations with the branch management.
  • Prepare for each exam by generating and analyzing various reports and conducting comprehensive pre-examination research.
  • Review exam findings with branch management.
  • Draft and issue high quality examination reports in a timely manner.
  • Educate OSJ Managers, Financial Advisors and support staff on various industry rules and firm policies during the exam.
  • Interpret the Written Supervisory Procedures, FINRA manual, Compliance notices and other publications concerning broker/dealer regulation.
  • Assist in the training of new examiners and field management as needed.
  • Perform for-cause exams as needed.
  • Present to multiple parties, including field management and upper management as needed.
  • Submit expense reports in a timely manner.
  • Archive documentation and supporting paperwork upon conclusion of examinations.

Skills

Financial services
Compliance
Branch exams
FINRA Series 7
FINRA Series 24
Verbal communications
MS Office
Smarsh
RegEd
Detail oriented

Education

High school diploma
College degree preferred

Tools

MS Office
OneDrive

Job description

Corebridge Financial is seeking an experienced Compliance Examiner for our broker/dealer regulatory team. You will conduct examinations, analyze reports, and educate branch staff on industry rules while traveling up to 50% across the United States.

The role requires FINRA licenses (7 needed; 24 preferred or obtainable within 90 days) and strong communication; MS Office and regulatory knowledge are essential. This is a remote role with competitive compensation.

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