Regional Supervision Associate

Rockefeller Capital Management

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

Qualifications

  • Combination of FINRA registrations (e.g., Series 7, 9, 10, 63, 65, 66) preferred or willingness to obtain them.
  • 3-5 years of experience in the securities industry with a focus on supervisory control functions.
  • Strong background in account monitoring, supervision, sales practices, and regulatory compliance is highly desirable.

Responsibilities

  • Assist in oversight for advisory teams within the Northern Hub.
  • Facilitate escalation and support for business and supervision matters.
  • Guide team structure, coverage, and daily business execution in the region.
  • Collaborate with Private Advisors and Managing Directors to enhance client service delivery.
  • Act as liaison between advisory teams and internal partners like Human Capital and Compliance.
  • Support advisor-led initiatives, events, and client communications that require regional approval.
  • Ensure teams comply with firm guidelines and governance standards.

Benefits

  • Opportunities for professional development and obtaining necessary certifications.
  • Collaborative environment with senior leadership and advisory teams.
  • Exposure to diverse regulatory and compliance challenges.
  • Ability to influence client service delivery and team effectiveness directly.
Full Job Description
Position

The Regional Supervision Associate is responsible for participating in business supervision, support, and strategic execution for assigned advisory teams. This role partners closely with Private Advisors and senior leadership to ensure effective team management, supervisory discipline, and alignment with firm standards and objectives.

Responsibilities

  • Assist in the oversight for advisory teams within the Northern Hub
  • Assist in the escalation and support for business and supervision matters
  • Guide team structure, coverage, and day-to-day business execution across the region
  • Partner closely with Private Advisors and Managing Directors to support client service delivery and team effectiveness
  • Act as a liaison between advisory teams and internal partners across Human Capital, Supervision, Compliance, and Operations (where applicable)
  • Support advisor led initiatives, events, and client communications requiring regional approval or coordination
  • Ensure regional teams operate within firm guidelines and governance standards
  • Support continuity planning and business transitions as needed


Qualifications

  • Ideal candidates will have a combination of the following FINRA registrations (e.g., Series 7, 9, 10, 63, 65, 66), or willingness to obtain
  • 3-5 years in the securities industry; experience in supervisory control functions, account monitoring / surveillance, supervision, sales practices, and regulatory compliance highly desirable


Skills

  • Proficiency in supervisory oversight routines for broker-dealer and / or registered investment advisor practices.
  • Able to navigate a fast-paced environment of swift regulatory change.
  • Demonstrated ability to deliver subject matter expertise & service with speed and precision.
  • Risk based approach to creative problem solving.
  • Highly motivated achiever
  • Comfortable as team player as well as individual independent contributor


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