Source Job

US

  • Leads the broker-dealer supervisory program, ensuring FINRA, SEC, and state regulatory compliance.
  • Establishes strategic objectives for supervision, oversees supervisory activities, and enhances surveillance programs.
  • Manages regulatory exam preparation, reporting to leadership, and fostering a culture of compliance.

4 jobs similar to Director, Supervision – Broker Dealer

Jobs ranked by similarity.

US

  • Review and approve marketing materials for FINRA and SEC compliance using the Hadrius tool.
  • Support new account opening, cash transfer review, and SAR filings.
  • Assist in maintaining Written Supervisory Procedures and monitoring regulatory developments.

Frec builds tax-aware investment tools to help investors hold onto more of what they earn. They have grown 50% QoQ with over $1B in customer assets, backed by Greylock Partners and other investors.

US Unlimited PTO

  • Own and execute day-to-day brokerage operations across OnePay Invest and Crypto, ensuring accurate and compliant trade and asset lifecycle management.
  • Serve as the designated principal (Series 24) to supervise operations, enforce SEC/FINRA regulations, and lead real-time incident resolution.
  • Partner with India-based operations lead for continuous coverage, manage core brokerage functions like settlements and ACATS, and drive automation using AI tools.

OnePay is a consumer fintech that provides an all-in-one financial services platform blending banking, savings, credit, investing, and crypto. Backed by Walmart and Ribbit Capital, the company is scaling rapidly with a culture that values speed, low ego, and a drive to fix the broken financial system.

US

  • Designs and implements compliance risk management strategies and governance structures.
  • Oversees internal controls, reporting, and regulatory compliance across the enterprise.
  • Manages a team of employees, providing direction, leadership, and performance management.

Fulton Bank is a financial services company focused on compliance and risk management. With a culture of continuous learning and inclusion, they employ a team dedicated to making a positive impact in local communities.

Global

  • Provide advisory compliance and real-time trading guidance across all asset classes and regions.
  • Build and maintain a pre-cleared rules framework and oversee regulatory filings and trade surveillance.
  • Supervise two Compliance Officers and represent compliance in cross-functional discussions.

BHFT is a proprietary algorithmic trading firm that manages the full trading cycle across multiple asset classes. With a team of 200+ professionals, 70% of whom are technical specialists, the company values clarity and transparency in its culture.