Responsibilities: Monitoring, tracking and processing of advisor profiles within the firm’s books and records platforms. Provide QA review between various firm platforms such as FINRA and BRACS related to rep profile and branch/CRD assignments Monitor the recruiting tool database to set up new hire records in coordination with the Compliance Licensing team related to assignment of advisor code and personal data set up Assist in updating and tracking desk procedure documentation on key functions within the team and submitting for review and approvals Assist team with email notifications with other business partner areas including but not limited to compensation, supervision, electronic communication compliance, compliance licensing, field management, HR recruiting Assist in activities related to division transfers, terminations, branch / CRD changes, branch openings and closing this includes reviewing in take forms, updating firm books and records related to advisor records, monitoring / updating status reports, coordination with other partner areas impacts by the changes Assist field in ensuring state registration renewals are occurring in a timely manner Assist in responding to questions from the field related to branch / CRD assignments, licensing needs / renewals and testing progress for required securities exams for job roles Provide support to ensure home office supervisory structure is maintained in the firm’s systems of record Assist the field to clear out licensing holds on accounts needing to be addressed within BRACS Provide instructions to field to reassign accounts when license will not be renewed to ensure client records are being reassigned in a timely manner Provide additional support to the account reassignment process when needed or as assigned
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Job Type
Full-time
Career Level
Entry Level