Working knowledge of broker-dealer business including products, trading, and back-office operations.
General knowledge of securities rules and regulations, including but not limited to, brokerage operations and/or capital markets compliance subject matter.
Process/project management experience
Experience with data visualization products like Tableau a plus
Familiarity with Fidelity’s organization and operations preferred
The Skills You Bring
Adaptable and Flexible. Ability to independently prioritize multiple tasks and priorities simultaneously with a self-starter attitude
Strong interpersonal, written, and verbal communication skills and the ability to present results in a clear and compelling manner
Experience in a compliance focused environment and a desire to further develop skills
Desire to learn and develop within the Compliance organization
Ability to interpret and summarize complex rules and regulations
Strong research and analytical skills
A fresh perspective and an auditor’s curiosity
The Value You Deliver
Developing and performing assessments designed to validate compliance with SEC, FINRA, SRO rules/regulations, and Firm requirements/expectations.
Drafting work papers to evidence and communicate the scope of the review and to support the findings
Identifying and participating in the design of ongoing surveillance scenarios / continuous monitoring.