Compliance Officer - Investment Advisory
Job in
Miami, Miami-Dade County, Florida, 33196, USA
Listed on 2026-06-02
Listing for:
StoneX Group Inc.
Full Time
position Listed on 2026-06-02
Job specializations:
-
Finance & Banking
Regulatory Compliance Specialist, Financial Services
Job Description & How to Apply Below
Connecting clients to markets - and talent to opportunity. With 5,400+ employees and over 80,000 institutional, commercial, and payments clients, we operate from more than 80 offices spread across six continents.
As a Fortune 100, Nasdaq-listed provider, we connect clients to the global markets - focusing on innovation, human connection, and providing world-class products and services to all types of investors. Whether you want to forge a career connecting our retail clients to potential trading opportunities, or ingrain yourself in the world of institutional investing, Stone
X Group is made up of four business segments that offer endless potential for progression and growth
Business Segment Overview:
Engage in a deep variety of business-critical activities that keep our company running efficiently. From strategic marketing and financial management to human resources and operational oversight, you'll have the opportunity to optimize processes and implement game-changing policies.
Position
Purpose:
Senior Compliance Officer, Investment Advisor Services, position reports directly to the Chief Compliance Officer (CCO). The successful candidate supports the retail business lines of Stone
X Wealth Management and Stone
X Group. They will possess strong communications skills, superior writing skills, a very strong working knowledge of MS Excel with respect to data management and reporting, and the ability to manage multiple tasks in a dynamic environment.
Responsibilities
Position
Purpose:
Senior Compliance Officer, Investment Advisor Services, position reports directly to the Chief Compliance Officer (CCO). The successful candidate supports the retail business lines of Stone
X Wealth Management and Stone
X Group. They will possess strong communications skills, superior writing skills, a very strong working knowledge of MS Excel with respect to data management and reporting, and the ability to manage multiple tasks in a dynamic environment.
Primary Accountabilities/Responsibilities:
* Provide guidance and support to employees of Stone
X RIA companies related to the Code of Ethics (COE) and Written Supervisory Policies (WSP), as well as related regulatory issues.
* Assist the CCO in the coordination of the annual 206(4)-7 review, including aiding in drafting new or changing policies and procedures.
* Perform certain recurring reporting routines that support the advisory compliance efforts including the review of systems reports, rules and outputs to ensure compliance and ensure supervision needs are addressed.
* Review supervisory activities with respect to advisory programs to ensure compliance with established guidelines.
* Assist in drafting, reviewing and preparing the firm's Disclosure Brochure(s) (Form ADV 2A).
* Facilitate regulatory filings on behalf of RIA companies and related Stone
X entities, including Form ADV Part 1 and 2, 13F, NP-X, 13H, etc.
* Assist in the review and approval of marketing materials and internal communications, as necessary.
* Research and respond to regulatory requests as necessary.
* Participate in other compliance initiatives on behalf of Stone
X, as may be assigned.
* Perform other duties relating to Stone
X business, as may be assigned.
* Support Stone
X Securities Inc., a registered broker dealer, as needed.
Qualifications
Job Requirements:
* Bachelor's degree or equivalent financial industry or related compliance experience required.
* FINRA Series 7, 65 or 66, and 24 required. Series 14 and/or IACCP preferred.
* 5 years of previous compliance or related industry experience preferred.
* Strong knowledge of the investment advisory business, including basic custody and trading operations, systems and interfaces, account set up, billing and performance reporting.
* Knowledgeable in the Investment Advisers Act of 1940, as well as rules promulgated pursuant to the Act.
* Ability to apply industry specific knowledge, related to existing, proposed and new regulations, to current situations and to assist, as needed, in the development of appropriate policies and procedures.
* Knowledge of Independent RIA and broker dealer model.
* Strong analytical and problem-solving skills.
* Strong communication skills, both written and verbal.
* High level technical skills including strong-to-expert level knowledge of MS Excel, MS Access, and/or Power BI.
* Previous experience with custodial/clearing and TAMP systems including Envestnet and Advyzon preferred.
* Strong time management skills and an ability to multi-task in a dynamic and time-sensitive environment.
* Ability to develop positive and productive relationships with business line partners.
* Ability to lead/direct others and delegate where appropriate in a professional and ethical manner.
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