Cetera Financial Group

Senior Supervision Specialist

Cetera Financial Group$80K — $118K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree required
  • FINRA Series 7, 24, 63 required
  • FINRA Series 65 or 66 required
  • FINRA Series 53 required (or ability to obtain within 6 months)
  • 5+ years in securities industry with compliance/supervisory experience
  • Strong understanding of FINRA rules and supervisory best practices
  • Excellent communication and critical-thinking skills

Responsibilities

  • Perform principal review and supervision of securities transactions
  • Oversee Financial Representatives' account activities and approvals
  • Act as a subject matter expert on compliance and regulatory matters
  • Guide Financial Representatives on supervision standards and expectations
  • Identify and address potential sales practice issues
  • Collaborate with various teams to resolve issues and implement solutions
  • Support training initiatives and process improvements

Benefits

  • Hybrid work model based in the Dallas office
  • Opportunity to mentor junior staff
  • Engagement in departmental initiatives
  • Support in training and presentation efforts
  • Professional development through training opportunities
Full Job Description
Job Description

We are seeking a Senior Supervision Specialist to provide advanced principal oversight, act as a subject matter expert, and support supervisory leadership while operating in a fast-paced, highly regulated environment.

This is a hybrid role, based in one of Cetera's office location, Dallas, TX

What You Will Do

The Senior Supervision Specialist serves as a senior-level principal responsible for complex supervision functions, leadership support, and advanced risk oversight, including but not limited to:
• Perform principal review and supervision of securities and direct business transactions across a complex book of business
• Directly oversee assigned Financial Representatives by reviewing and approving new accounts, trading activity, correspondence, and ongoing account activity
• Act as a subject matter expert and escalation point for supervision, compliance matters, firm policies, and regulatory interpretation
• Provide guidance, coaching, and education to Financial Representatives and their staff regarding supervision standards, suitability, and firm expectations
• Identify, assess, and address potential sales practice issues and regulatory concerns through detailed account and activity reviews
• Partner closely with Compliance, Legal, Risk, Operations, Supervision leadership, and Home Office teams to address issues and implement solutions
• Discuss supervisory concerns or potential violations directly with representatives and recommend corrective actions as appropriate
• Support training initiatives, supervision presentations, and recruiting discovery days as needed
• Assist Supervision leadership with process improvements, mentoring junior staff, and departmental initiatives
• Promote a strong culture of compliance, accountability, and risk awareness across the field

What You Need To Have
• Bachelor's degree required
FINRA Series 7, 24, and 63 required
FINRA Series 65 or 66 required
FINRA Series 53 required (or ability to obtain within 6 months of hire if not already held)
5+ years of progressive securities industry experience, including significant compliance and supervisory responsibilities
5+ years of supervisory, principal, compliance, or sales leadership experience within the brokerage industry
• Advanced working knowledge of securities products and services, including stocks, bonds, mutual funds, UITs, ETFs, REITs, annuities, options, alternative investments, and advisory products
• Deep understanding of FINRA rules, regulatory requirements, suitability standards, and supervisory best practices
• Strong critical-thinking, decision-making, and risk-assessment skills
• Excellent written and verbal communication skills, with the ability to engage effectively with representatives, leadership, and regulators
• Demonstrated ability to operate independently in a fast-paced, time-sensitive, supervisory environment
• Proven leadership mindset with the ability to influence, mentor, and support others

What Is Nice To Have
• Additional FINRA licenses or industry certifications
• Insurance licenses
• Prior independent broker-dealer experience
• Experience with systems such as Pershing, NFS, Smarsh, Albridge, Protegent, Salesforce and Docupace
• Experience supporting M&A, region growth efforts, complex supervision matters, or firm-wide initiatives

Compensation

The salary range for this role is $80,000 to $118,000 plus a competitive performance-based bonus. Compensation is based on a variety of factors, including experience, certifications, skills, and office location. Ranges may vary by geographic market due to labor cost considerations.

#LI-Hybrid

About Cetera Financial Group

Cetera Financial Group is a network of independent broker-dealer firms that provide financial advice to individuals and small businesses. The company was founded in 2010 and is headquartered in El Segundo, California. Cetera Financial Group offers a range of services, including investment advice, financial planning, and insurance products. The company has over 8,000 financial advisors and manages over $200 billion in assets.
Learn more about Cetera Financial Group
Size
8,000 employees
Industry
Founded
2010

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