Compliance Field Advisor

ComplianceComplianceFull TimeRemoteMid LevelTeam 1,001-5,000

Location

United States

Posted

2 days ago

Salary

Not specified

Seniority

Mid Level

No structured requirement data.

Job Description

Compliance Field Advisor

We are seeking a Compliance Field Advisor to join our Compliance team to conduct general market conduct, broker/dealer, investment advisor and insurance company compliance examinations.  This involves assessing current practices to reaffirm compliance with market conduct standards and SEC, FINRA and MSRB rules and regulations.

Who We Are: At Farm Bureau Financial Services, our client/members can feel confident knowing their family, home, cars and other property are protected. We value a culture where integrity, teamwork, passion, service, leadership and accountability are at the heart of every decision we make and every action we take. We’re proud of our more than 80-year commitment to protecting the livelihoods and futures of our client/members and creating an atmosphere where our employees thrive.

What You’ll Do: As a Compliance Field Advisor, you will prepare written reports of the office examination for compliance and management review, and develop action plans identifying and addressing areas of potential problems related to company policies and industry regulations. You will also assist in the training and development of team members, educating the field force on new and existing compliance issues, audit the effectiveness of procedural changes, provide new supervisor training within the assigned territory, and assist with the audit workflow and reporting, as necessary. You will create your own schedule, while traveling 75% of the time within your assigned territory. Work location will be from your home office and the field, so this position can be located anywhere within the territory.

If you pay great attention to detail, are a self-starter, and have excellent time management skills, this is an excellent opportunity for you!

What It Takes to Join Our Team:

  • College degree or equivalent plus 3 years of broker dealer, investment advisor or insurance compliance experience required.
  • FINRA Series 6 (or 7) required at the time of hire, and Series 26 (or 24) preferred. If not already obtained, Series 7 and 24 are required within 4 months of hire.
  • Series 66 (or equivalent) preferred.
  • Must keep current with existing and pending FINRA, SEC and Insurance rules and regulations.
  • Must have working knowledge of Microsoft Office, with a high degree of accuracy in Excel and Word.
  • Be a self-starter and be able to work under minimal supervision.
  • Attention to detail, excellent time management and organizational skills required.
  • Valid driver’s license required (75% travel with overnight stays required).

What We Offer You: When you’re on our team, you get more than a great paycheck.  You’ll hear about career development and educational opportunities.  We offer an enhanced 401K with a match, low cost health, dental, and vision benefits, and life and disability insurance options. We also offer paid time off, including holidays and volunteer time, as well as a company cell phone. Farm Bureau....where the grass really IS greener!

If you're interested in joining a company that appreciates its employees, provides growth and professional development opportunities, and offers great benefits, we invite you to apply today!

Work Authorization/Sponsorship: At this time, we are not considering candidates that need any type of immigration sponsorship now or in the future, such as additional or permanent work authorization.  Applicants must be currently authorized to work in the United States on a full-time, permanent basis. We are not able to sponsor now or in the future, or take over sponsorship of, an employment visa or work authorization for this role. For example, we are not considering candidates with OPT status. 

Job Requirements

  • College degree or equivalent plus 3 years of broker dealer, investment advisor or insurance compliance experience required.
  • FINRA Series 6 (or 7) required at the time of hire, and Series 26 (or 24) preferred.
  • If not already obtained, Series 7 and 24 are required within 4 months of hire.
  • Series 66 (or equivalent) preferred.
  • Must keep current with existing and pending FINRA, SEC and Insurance rules and regulations.
  • Must have working knowledge of Microsoft Office, with a high degree of accuracy in Excel and Word.
  • Be a self-starter and be able to work under minimal supervision.
  • Attention to detail, excellent time management and organizational skills required.
  • Valid driver’s license required (75% travel with overnight stays required).

Benefits

  • Enhanced 401K with a match.
  • Low cost health, dental, and vision benefits.
  • Life and disability insurance options.
  • Paid time off, including holidays and volunteer time.
  • Company cell phone.
  • Work Authorization/Sponsorship
  • At this time, we are not considering candidates that need any type of immigration sponsorship now or in the future, such as additional or permanent work authorization. Applicants must be currently authorized to work in the United States on a full-time, permanent basis. We are not able to sponsor now or in the future, or take over sponsorship of, an employment visa or work authorization for this role. For example, we are not considering candidates with OPT status.

Related Categories

Related Job Pages

More Compliance Jobs

Centene Corporation logo

Medicare Appeals Intake Coordinator

Centene Corporation

Transforming the health of the communities we serve, one person at a time.

Compliance2 days ago
Full TimeRemoteTeam 10,001+Since 1984H1B No Sponsor

The role is responsible for ensuring proper appeal classification and identifying valid appeals through efficient intake and triage of member and provider cases, adhering strictly to regulatory requirements. This involves receiving, reviewing, logging appeal requests, performing initial data entry, and triaging cases to the appropriate resolution area while maintaining accurate records.

Medicare regulationsCMS guidelinesdata entryappeals processingcase managementhealthcare operationsregulatory compliance
United States
$19 - $33 / hour
American Chemical Society logo

Specialist, Regulatory Compliance - Remote

American Chemical Society

The American Cancer Society Cancer Action Network (ACS CAN) is the nation's leading cancer advocacy organization. Together with our charitable partner, the American Cancer Society, we work in Congress, state legislatures and local jurisdictions to support evidence-based policy and legislative solutions designed to eliminate cancer as a major health problem.

Compliance2 days ago
Full TimeRemoteTeam 1,001-5,000

This role supports regulatory compliance and risk mitigation by coordinating and applying requirements across federal, state, and local jurisdictions, including administering prize winner tax compliance and managing routine licenses and permits. The specialist will also monitor exemption statuses, interpret regulatory changes, and develop compliance documentation and internal controls.

Regulatory ComplianceTax ComplianceIRS ReportingMicrosoft ExcelSalesforceNetSuite
United States
$49K - $60K / year

Compliance Testing Manager (Remote)

Experian

We're unlocking the power of data to help create a better tomorrow.

Compliance2 days ago
Full TimeRemoteTeam 10,001+Since 1996H1B Sponsor

The manager will lead a team of Compliance Testers to ensure business functions meet regulatory requirements through transactional and control testing, while also driving the evolution of the Compliance Independent Testing Team through modern practices. Responsibilities include designing and executing the Compliance Assurance Plan, overseeing the Annual Testing Calendar, and partnering with various leaders to align testing activities with business risks.

Compliance testingFCRAGLBAUDAAPRegulatory frameworksControl testingAuditRisk managementArcherData analysisLeadershipTeam management
United States
$115K - $208K / year
Full TimeRemoteTeam 1-10Since 2021H1B No Sponsor

Director of Governance Risk & Compliance leading GRC programs for MastarRec

United States
$170K - $240K / year