Senior Advertising Supervision Principal

LPL Financial

Fort Mill (SC)

On-site

USD 74,057 - 123,497

Full time

14 days+
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Job summary

LPL Financial is seeking a Senior Advisor Communications & OBA Principal in Fort Mill, SC. This role involves reviewing and approving marketing materials, consulting on outside business activities, and serving as a Subject Matter Expert to educate staff.

The ideal candidate will have a Bachelor’s degree, 3+ years of compliance review experience in financial services, and strong communication skills. Successful candidates will also possess Series 7 and 24 licenses.

Qualifications

  • 3+ years of prior financial services and advertising/marketing compliance review experience.
  • Knowledge of FINRA, SEC, and State rules and regulations.
  • Licensing Requirement: Series 7, 24.

Responsibilities

  • Evaluate marketing materials for approval or guidance.
  • Review outside business activities for compliance.
  • Consult with advisors on marketing initiatives.
  • Research compliance issues and regulatory inquiries.
  • Contribute to policy updates and training initiatives.

Skills

Financial services compliance review
Advertising compliance review
Client-facing skills
Excellent oral communication
Excellent written communication
Attention to detail

Education

Bachelor’s Degree

Tools

Excel
Word
PowerPoint

Job description

Job Overview

Positions open to principals only.

The Senior Advisor Communications & OBA Principal will review and approve marketing materials and other public communications, and review Outside Business Activity (OBA) and private securities transaction requests from Financial Advisors and home office employees. The principal serves as a Subject Matter Expert (SME) to educate team members and employees regarding communications with the public and outside business activities.

Responsibilities
  • Evaluate marketing materials and other forms of communication with the public to provide principal approval or guidance on changes that can lead to an approval.
  • Review outside business activities and private securities transactions to ensure compliance with firm policy and state regulations.
  • Consult with advisors on their marketing initiatives, outside business activities, and possible private securities transactions.
  • Research and address instances where the firm’s policies are not being followed.
  • Assist with research and response to regulatory inquiries including branch exams.
  • Contribute to department initiatives such as policy updates and training.
  • Other tasks and projects as assigned.
Requirements
  • Bachelor’s Degree preferred.
  • 3+ years of prior financial services and advertising/marketing compliance review experience.
  • Prior experience in a client‑facing role, comfortable on the phone and able to explain complex issues.
  • Knowledge of FINRA, SEC, and State rules and regulations.
  • Licensing Requirement: Series 7, 24.
Core Competencies
  • Ability to work in a fast‑paced, high‑volume environment and be flexible with work schedule.
  • Customer focus, collaboration, time management and organization; excellent oral and written communication skills.
  • Ability to multi‑task, strong attention to detail, excellent problem‑solving and follow‑up skills.
  • Working knowledge of Excel, Word, and PowerPoint.
  • Excellent customer service skills and ability to communicate effectively with individuals at various levels.
Preferences
  • Licensing: 66 (or 63 and 65).
Pay Range

$74,057.00 – $123,497.00

Equal Opportunity Employer

All qualified applicants will receive equal consideration for employment. EOE.

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