Hybrid Compliance Analyst — Finra/SEC Focus
Location: New York
A leading insurance company is seeking a Compliance Analyst to support regulatory compliance in their retail wealth management business. This role involves advising internal teams, assisting with compliance testing, and preparing compliance metrics. Candidates should have 3-5 years of relevant experience and a bachelor’s degree. The position offers a hybrid work model, allowing for flexibility between in-office and remote work.
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