Analyst - Financial Advisor Compliance

Interactive Brokers New York City, NY

Company

Interactive Brokers

Location

New York City, NY

Type

Full Time

Job Description

Join the INTERACTIVE BROKERS Team!

 

Interactive Brokers Group has been consistently at the forefront of trading innovation, starting with the invention of the first floor-based handheld computer in 1983. We pride ourselves on being primarily a technology company and challenging the status quo. We push boundaries to offer our clients the best trading platform with the most sophisticated features at the lowest cost. Software development is the lifeblood of our firm, and it shows in our stellar brokerage platform. Interactive Brokers is regularly recognized as a leader in the financial services industry.


Interactive Brokers is looking to hire a Compliance Analyst at the Chicago or Greenwich Office. This entry-level position has excellent growth potential for highly motivated and exceptional performers. The analysts will report to the Financial Advisor ("FA") Compliance Team Lead. They will assist with various initiatives relating to Interactive Brokers Financial Advisor program and clients.

 Responsibilities
  • Support the implementation of the firm's financial advisor compliance program.
  • Conduct surveillance reviews on the firm's financial advisor clients and platform.
  • Perform ad hoc investigations relating to financial advisor activity, including trade activity, registrations, etc.
  • Assist with responding to regulatory inquiries about the firm's financial advisor clients and platform.
  • Coordinate with programmers and other personnel on systems maintenance and enhancements of the firm's financial advisor platform.
  • Identify opportunities to streamline current processes and areas for improvement.
  • Assist with reviewing and updating policies and procedures related to financial advisor regulations.
  • Review registered financial advisor accounts to ensure that the FA maintains a current registration and that the FA's registration information is accurate in internal systems.
  • Identify items for escalation to management, including but not limited to AML issues and potential disciplinary or disclosure events involving a financial advisor.

Qualifications, Skills & Attributes
  • The ideal candidate should possess a strong dose of "compliance curiosity" and have some regulatory experience working for an exchange, a regulatory organization, a Broker Dealer, a Futures Commission Merchant or a similar organization. Alternatively, experience in internal audit, compliance, legal, accounting or other control function of a financial services firm or regulator would be beneficial. In the absence of direct industry experience, we will also consider applicants with excellent Bachelor's-level educational credentials who have some background in law, accounting, data analytics or similar areas with strong analytical and quantitative skills.
  • A high degree of comfort and fluency with computers and technology and an understanding of how technology is applied to business and regulatory problems. Experience working directly with programmers and/or familiarity with scripting or query language is preferred.
  • Outstanding oral and written communication skills
  • Ability to develop compliance solutions that satisfy relevant regulations while executing sound business judgment
  • Ability to work both independently as well as in a small-team environment and to multi-task with minimal supervision
  • Experience with Atlassian Confluence/JIRA is preferred.

Company Benefits & Perks
  • Competitive salary, annual performance-based bonus and stock grant
  • Retirement plan 401(k) with competitive company match
  • Excellent health and welfare benefits, including medical, dental, and vision benefits
  • Wellness screenings and assessments, health coaches and counseling services through an Employee Assistance Program (EAP)
  • Paid time off and a generous parental leave policy
  • Daily company lunch allowance provided, and a fully stocked kitchen with healthy options for breakfast and snack
  • Corporate events including team outings, dinners, volunteer activities and company sports teams
  • Education reimbursement and learning opportunities
  • Modern offices with multi-monitor setups

 

Company Overview

Interactive Brokers LLC, a subsidiary of Interactive Brokers Group, Inc. (Ticker: IBKR) is a direct access electronic broker serving professionals, frequent traders, institutional investors, financial advisors and introducing brokers. Our clients have access to more than 150 market centers around the world from a single integrated account. Our employees are part of a dynamic, multi-national, fast-paced, results-oriented team that has spent four decades focused on advanced technology and automation that equips our clients with a uniquely sophisticated platform to manage their investment portfolios. We provide our clients with advantageous execution prices, risk and portfolio management tools, research facilities and investment products, at low or no cost, positioning them to achieve superior returns.

Headquartered in Greenwich, CT, USA. IBKR has offices in more than 15 countries across the world.

IBKR is a member of NYSE, FINRA, and SIPC. Interactive Brokers Group brokerage affiliates are regulated by securities and commodities agencies around the world.

Click the link to view a short video with a few words from current Interactive Brokers employees: https://www.interactivebrokers.com/en/index.php?f=31899



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Date Posted

04/17/2023

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