Job Description
The Senior Compliance Officer supports the firm’s compliance program across its broker-dealer, investment adviser, and insurance operations. This role is responsible for regulatory responses, customer complaint oversight, dispute and arbitration support, licensing and registrations, compliance training, continuing education programs, and other compliance support as needed. The Senior Compliance Officer assists the CCO with the firm’s compliance initiatives and leads key operational components of the firm's compliance infrastructure.
Salary: 105k-120k
We are a company committed to creating diverse and inclusive environments where people can bring their full, authentic selves to work every day. We are an equal opportunity/affirmative action employer that believes everyone matters. Qualified candidates will receive consideration for employment regardless of their race, color, ethnicity, religion, sex (including pregnancy), sexual orientation, gender identity and expression, marital status, national origin, ancestry, genetic factors, age, disability, protected veteran status, military or uniformed service member status, or any other status or characteristic protected by applicable laws, regulations, and ordinances. If you need assistance and/or a reasonable accommodation due to a disability during the application or recruiting process, please send a request to HR@insightglobal.com.To learn more about how we collect, keep, and process your private information, please review Insight Global's Workforce Privacy Policy: https://insightglobal.com/workforce-privacy-policy/.
Required Skills & Experience
• Hands‑on compliance experience at a FINRA‑registered broker‑dealer and SEC‑registered RIA
• Direct support of SEC and FINRA examinations
• Drafted written regulatory exam responses and managed remediation
• Direct ownership of FINRA Rule 4530 reporting (a/b and quarterly d filings)
• Experience investigating and responding to customer complaints
• Coordination with legal counsel and senior leadership on complaints and disclosures
• Hands‑on Form U4 and U5 filings with strict adherence to 30‑day deadlines
• Experience managing registrations, licenses, branch filings, and outside business activities
• Experience supporting FINRA arbitration matters and working with outside counsel
• Oversight of FINRA Regulatory Element requirements (S101, S201, S901)
• Management of state IAR continuing education requirements and tracking
• Strong written regulatory and compliance communication skills
• Experience supervising, training, or mentoring compliance staff
Nice to Have Skills & Experience
• Insurance compliance experience and interaction with state insurance departments
• Experience overseeing compliance across BD, RIA, and insurance entities simultaneously
• Familiarity with compliance and surveillance systems
• Experience with heightened supervision programs
• Experience updating or enhancing Written Supervisory Procedures (WSPs)
• Background working in a fast‑growing or scaling financial services firm
Benefit packages for this role will start on the 1st day of employment and include medical, dental, and vision insurance, as well as HSA, FSA, and DCFSA account options, and 401k retirement account access with employer matching. Employees in this role are also entitled to paid sick leave and/or other paid time off as provided by applicable law.