Cambridge Investment Research

Supervisory Principal

Cambridge Investment Research$90K — $120K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 2+ years of experience in supervision, compliance, brokerage operations, or financial services.
  • Current FINRA Series 7 and Series 24 licenses required.
  • Strong analytical and decision-making skills with a detail-oriented approach.
  • Ability to assess complex situations and identify potential risks.
  • Effective communication skills to engage with financial professionals and internal teams.

Responsibilities

  • Review and approve daily transactions related to various investment products.
  • Verify accuracy and completeness of client information and account documentation.
  • Oversee trades and transactions for financial professionals linked to the home office.
  • Utilize compliance tools and reports for supervisory reviews and risk assessment.
  • Research and provide recommendations on complex client queries and suitability.
  • Ensure compliance with firm policies and escalate issues when necessary.
  • Deliver training and support for financial professionals on supervisory processes.

Benefits

  • Hybrid work schedule with 3 days in-office attendance.
  • Opportunity to work in a collaborative and supportive environment.
  • Professional development through training programs and materials.
  • Engagement with experienced financial professionals.
  • Dynamic role requiring critical thinking and independent decision-making.
Full Job Description
Job Summary

Key Deliverables and Responsibilities

Cambridge is seeking an Advocacy and Supervision Principal to join the Advocacy and Supervision department. This role is responsible for reviewing, analyzing, and approving daily transactions and account activity while helping ensure adherence to firm policies, clearing firm requirements, and applicable regulatory standards. The ideal candidate is a thoughtful, detail-oriented decision-maker who can assess complex situations, identify potential risk, and balance service with sound supervisory judgment.

Key Responsibilities:
  • Review, analyze, and approve daily transactions, including Mutual Funds, Variable Annuities, Variable Life, 529 Plans, and Direct Participation Programs/Real Estate Investment Trusts.
  • Review client information, suitability forms, new account documentation, sponsor applications, third-party money manager agreements, CIRA advisory agreements, and independent advisory paperwork for completeness, accuracy, and acceptance.
  • Provide review and oversight of OSJ approval trades and brokerage account transactions for financial professionals reporting to the home office.
  • Use the firm's compliance engine, dual brokerage platforms, clearing firm reports, and custom reporting tools to conduct supervisory reviews and identify activity that may require escalation.
  • Research complex questions, assess suitability and risk, and make independent recommendations while maintaining strong working relationships with financial professionals and internal partners.
  • Ensure adherence to firm policies and procedures, clearing firm policies, and applicable requirements; inform management of potential violations or concerns.
  • Provide professional, courteous problem-solving and troubleshooting support for inbound phone calls, voicemails, emails, and occasional in-person inquiries from existing and new financial professionals and staff.
  • Assist with the organization, development, and delivery of training programs and materials for new and existing financial professionals, including phone training and administrative workshops.


What We Are Looking For

Location: Phoenix, AZ or Fairfield, IA - hybrid attendance (in-office 3 days/week)

A strong Principal investigates rather than simply processes. They ask thoughtful questions such as, "What am I missing?", "Does this make sense?", "What is the client's objective?", and "Is there a pattern here?" They are willing to go where the work is, navigate available resources, make difficult decisions when they are the right decisions, and escalate concerns appropriately.

Education and Experience:
  • 2+ years of related experience, education, and/or training in supervision, compliance, brokerage operations, financial services, or a related field.


Licensing:

FINRA Series 7 and Series 24 licenses are required.

About Cambridge Investment Research

Cambridge Investment Research is a privately owned financial services firm that provides a wide range of services to independent financial advisors and their clients. The company was founded in 1981 and is headquartered in Fairfield, Iowa. Cambridge Investment Research offers a variety of products and services, including investment advisory services, brokerage services, and insurance products. The company is committed to providing independent financial advisors with the tools and resources they need to help their clients achieve their financial goals. Cambridge Investment Research has been recognized as one of the top independent broker-dealers in the United States.
Learn more about Cambridge Investment Research
Size
1,000 employees
Industry

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