Compliance Officer

Bravo Technical Resources

• $80K — $95K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in business or equivalent experience
  • 3-5 years of compliance experience in broker-dealer or Registered Investment Adviser
  • Series 7 license or relevant experience in investment adviser
  • Strong understanding of compliance surveillance and regulatory review processes
  • Excellent written and verbal communication skills
  • Ability to interpret complex regulatory requirements and policies
  • Proficiency in Microsoft Office Suite

Responsibilities

  • Support the enhancement of the Registered Investment Adviser compliance program
  • Assist with Form ADV preparation and annual updates
  • Conduct annual compliance reviews as per Rule 206(4)-7
  • Perform on-site compliance inspections of branch and home office locations
  • Communicate inspection findings professionally and clearly
  • Identify and resolve compliance issues or regulatory concerns
  • Support compliance surveillance for broker-dealer and advisory functions

Benefits

  • Opportunity to work in a broad compliance function across multiple operations
  • Engagement in maintaining strong regulatory practices
  • Involvement in supporting advisory programs and compliance inspections
  • Collaboration with business teams to promote effective compliance standards
  • Potential for professional growth in a vibrant job market
Full Job Description
Job Description

Compliance Officer
We are seeking a Compliance Officer to support both broker-dealer and Registered Investment Adviser compliance functions. This role will help maintain effective policies and procedures, support regulatory compliance efforts, conduct compliance reviews, and assist with surveillance, audits, advisory program support, customer complaints, regulatory requests, and departmental projects.

The ideal candidate has experience in broker-dealer and/or investment adviser compliance, strong communication skills, and the ability to review complex regulatory requirements and explain them clearly to business partners.
What You'll Do
  • Support the administration and enhancement of the firm's Registered Investment Adviser compliance program.
  • Assist with the preparation, maintenance, and annual updates of Form ADV Parts 1, 2A, and 2B.
  • Support the annual compliance review required under Rule 206(4)-7 of the Investment Advisers Act.
  • Conduct on-site compliance inspections of branch and home office locations.
  • Communicate inspection findings in a clear, professional, and unbiased manner.
  • Identify, investigate, and help resolve compliance issues or potential regulatory concerns.
  • Support compliance surveillance activities for broker-dealer and advisory functions.
  • Assist with education and guidance for firm associates on regulatory and compliance matters.
  • Support the annual CEO Certification process.
  • Assist with the review and updates of written supervisory procedures and compliance policies.
  • Support advertising and marketing review, customer complaints, regulatory requests, examinations, and other compliance projects.
  • Travel as needed for branch inspections and compliance activities.
Requirements
  • Bachelor's degree, preferably in business, or equivalent professional experience.
  • 3-5 years of compliance experience within a broker-dealer and/or Registered Investment Adviser environment.
  • Series 7 required, or adequate experience working within an investment adviser environment.
  • Experience supporting Investment Adviser Representatives and advisory programs.
  • Knowledge of compliance surveillance, supervision, and regulatory review processes.
  • Ability to conduct compliance reviews, identify issues, and support corrective actions.
  • Strong written and verbal communication skills.
  • Ability to understand complex policies, procedures, and regulatory requirements.
  • Ability to explain compliance information clearly and professionally to others.
  • Proficiency with Microsoft Office, including Word, Excel, PowerPoint, and Outlook.
  • Ability to travel approximately 25%-30%.
Preferences
  • Series 24 license.
  • Series 65 or Series 66 license.
  • Experience with both broker-dealer and Registered Investment Adviser compliance.
  • Experience preparing or supporting Form ADV updates.
  • Experience with branch audits, home office inspections, or regulatory examinations.
  • Experience reviewing advertising, marketing materials, customer complaints, or regulatory requests.
  • Knowledge of SQL.
Why This Role
This is an opportunity to support a broad compliance function across broker-dealer and investment adviser operations. You will play an important role in helping maintain strong regulatory practices, supporting advisory programs, conducting compliance inspections, and partnering with business teams to promote effective compliance standards.
Apply Now
If you have broker-dealer and/or Registered Investment Adviser compliance experience and are looking for a role where you can support regulatory programs, compliance reviews, and advisory operations, we'd love to hear from you. Apply today to learn more.

Meet Your Recruiter

Logan Ridgley

About Dallas, TX

Unlock your potential in the vibrant job market of the Dallas-Fort Worth metroplex! This bustling region in the great state of Texas boasts a perfect blend of southern charm and big-city opportunities. Dive into a dynamic career scene with access to renowned landmarks like the Dallas Arboretum and Botanical Garden, exquisite cuisine from Tex-Mex to BBQ, and cultural hotspots such as the Dallas Museum of Art and the AT&T Performing Arts Center. Cheer for the Dallas Cowboys at the AT&T Stadium or enjoy the outdoors at White Rock Lake. Discover why Dallas is the ultimate destination for growth, opportunity, and a fulfilling career journey. Explore our job listings today and embark on a new chapter in this captivating city!

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