Jobs · Finance · Missouri

Compliance Specialist

Moneta · Clayton, MO · 2 mo ago
On-siteFinanceFull-time

Essential Responsibilities

  • Facilitates detailed analysis and preparation of client engagement agreements, as well as reviewing logged information and assisting advisor teams as needed
  • Responsible for the execution of daily compliance-related tasks, including the review and approval of advisory fees, trade records, and completed custodial forms
  • Develops thorough outlines of Department processes while seeking opportunities for efficiencies
  • Performs compliance-related audits, reviews, and data scrubs
  • Aids in supervising financial advisors, including correspondence, marketing, technology use, and outside business activities
  • Takes ownership of assigned responsibilities and executes independently while collaborating and openly communicating with colleagues
  • Supports the Compliance Team with various projects as required

Qualifications

  • Bachelor’s Degree preferred
  • Three or more years of experience in a professional office environment
  • Experience in operations, registrations, or compliance department of a registered investment adviser

Additional Information

This is a full-time, exempt position reporting to the Vice President of Compliance.

Moneta is committed to providing the best possible care for our employees; part of this care includes offering comprehensive benefits that enhance the well-being of employees and their families:

  • Paid holidays
  • Paid time off (PTO)
  • Employer cost-shared medical and dental insurance
  • Employer-paid short-term disability, long-term disability, AD&D insurance, and basic life insurance
  • 401k Match – 50% of employee contributions up to 6% of compensation
  • Discretionary annual profit-sharing bonus
  • Paid parental leave
  • Professional development reimbursement
  • Paid volunteer time off (VTO)
  • Employee referral incentive bonus program
  • Onsite wellness programs & rewards
  • Employee engagement activities

Moneta is a fiduciary fee-only Registered Investment Advisory firm and unable to hold securities licenses with the exception of Series 65. We also do not allow outside business activities, insurance commissions, and/or trails.

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