The Compliance Specialist will work closely with the VP, to develop, implement, and oversee the compliance program for Copper Financial Network, LLC (“Copper”), a FINRA registered broker-dealer and SEC Registered Investment Adviser. Responsibilities include serving as a compliance liaison within the organization, performing research and interpretation of laws and regulations, designing and implementing updates to firm procedures, planning and conducting assigned compliance reviews, and preparing and communicating reports to all levels of management. This position will focus on mitigating risk while being proactive and providing a high-level of service through guidance and support to financial advisors and other departments within Copper. Role is key to ensuring open communication within the firm and a strong culture of compliance. A successful candidate will balance consistently meeting high standards and making prudent business decisions while meeting deadlines.
Education and Experience Requirements:
Required Knowledge, Skills and Abilities:
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