HighTower Advisors

Manager, Compliance Marketing Review

HighTower Advisors$120K — $135K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 7+ years in compliance at a registered investment adviser or broker-dealer with focus on marketing reviews
  • Expertise in SEC Marketing Rule and FINRA Rule 2210 compliance materials
  • Strong grasp of advertising regulations relevant to investment advisers and broker-dealers
  • Experience with complex marketing topics including performance presentations and digital communications
  • Ability to provide practical compliance guidance and solutions
  • Excellent communication and critical-thinking skills for collaboration
  • Proficiency in managing competing priorities and ensuring high-quality outputs

Responsibilities

  • Conduct compliance reviews on marketing materials across various channels
  • Evaluate materials for adherence to SEC and FINRA regulations
  • Identify regulatory risks and offer compliant marketing alternatives
  • Collaborate with multiple departments to ensure efficient review processes
  • Update compliance policies and training materials based on regulatory changes
  • Assist with internal audits and regulatory inquiries
  • Enhance compliance technology for improved workflows

Benefits

  • Immediate coverage for medical, dental, and vision insurance
  • Generous paid parental leave policy
  • Onsite mother's lounge available
  • Flexible PTO plan offered
  • Hybrid work schedule with in-office and remote options
  • State-of-the-art gym in the Chicago office
  • 401k matching contributions
  • Employer-funded HSA contributions
  • Student loan assistance program
  • Pet insurance options available
Full Job Description
What You'll Do
  • Conduct timely, risk-based compliance reviews of marketing and communications materials used across the firm's registered investment adviser and broker-dealer businesses, including:
    • Blog posts, articles, and market commentary
    • Websites and digital content
    • Social media content
    • Webinars and presentations
    • Public and media appearances
    • Video and multimedia content
    • Other retail and institutional communications, as applicable
  • Evaluate materials for compliance with the SEC Marketing Rule, FINRA communications requirements, applicable state and federal regulations, and firm policies.
  • Identify and resolve regulatory and reputational risks involving performance, testimonials and endorsements, awards and rankings, hypothetical performance, investment claims, disclosures, and other complex marketing topics.
  • Provide clear, practical feedback to business partners and recommend compliant alternatives that preserve the intended marketing message.
  • Escalate novel, complex, or higher-risk matters to compliance leadership and other subject-matter experts, as appropriate.
  • Partner with Marketing, Legal, Investment Solutions, advisor teams, and other stakeholders to support compliant communications and efficient review processes.
  • Apply consistent review standards while considering the audience, distribution channel, registration status, and applicable RIA or broker-dealer requirements.
  • Help maintain and enhance policies, procedures, review standards, disclosure guidance, and supervisory controls governing marketing and communications.
  • Develop and deliver training and educational resources addressing marketing compliance requirements and industry best practices.
  • Monitor relevant regulatory developments and industry trends and assist with corresponding updates to policies, procedures, training, and review practices.
  • Support internal audits, regulatory examinations, and inquiries involving marketing and communications.
  • Help enhance compliance technology, templates, and workflows to improve the efficiency, consistency, and documentation of the review process.
  • Serve as a knowledgeable resource to colleagues and contribute to the development of less-experienced team members.


What You'll Bring
  • Seven+ years of relevant compliance experience with a registered investment adviser, broker-dealer, or dually registered financial services firm, with a significant focus on marketing and communications review.
  • Demonstrated experience reviewing materials under the SEC Marketing Rule (Rule 206(4)-1) and FINRA Rule 2210.
  • Working knowledge of regulatory requirements applicable to investment adviser advertising and broker-dealer communications with the public.
  • Experience reviewing complex marketing topics, such as performance presentations, testimonials and endorsements, awards and rankings, hypothetical performance, investment products and strategies, and digital or social media communications.
  • Ability to analyze regulatory requirements and apply them to business practices using sound, risk-based judgment.
  • Ability to translate compliance requirements into clear, practical guidance and workable solutions.
  • Strong critical-thinking, written communication, and interpersonal skills, with an ability to educate and collaborate rather than simply dictate.
  • Strong organizational skills and the ability to manage competing priorities while consistently producing accurate, high-quality work.
  • A proactive, responsive, and solutions-oriented approach, with accountability for assignments from initial review through resolution.
  • Ability to work independently, recognize when escalation is appropriate, and collaborate effectively with colleagues and business stakeholders.
  • Experience supporting or improving marketing review procedures, supervisory controls, or compliance workflows.
  • Experience with marketing review or books-and-records technology is preferred.
  • FINRA Series 7 and Series 24 licenses are preferred


What We Offer
  • Coverage on the first day of employment for medical, dental, and vision insurance
  • Paid parental leave (16 weeks for primary caregiver and 8 weeks for secondary caregiver)
  • Mother's lounge onsite
  • Flexible PTO plan
  • In-office Monday through Thursday and work from home on Fridays
  • Free brand-new gym in the Chicago office
  • 401k matching plan
  • HSA employer contributions
  • Student loan assistance
  • Pet insurance
  • Base salary of $120,000-$135,000 plus discretionary bonus (exact base salary amount will be dependent on experience)

About HighTower Advisors

Industry
Founded
2008

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