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Senior Compliance Analyst; Broker-Dealer

Job in New York, New York County, New York, 10261, USA
Listing for: Atlantic Group
Full Time position
Listed on 2026-03-01
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Financial Compliance, Financial Analyst, Financial Services
Salary/Wage Range or Industry Benchmark: 95000 - 125000 USD Yearly USD 95000.00 125000.00 YEAR
Job Description & How to Apply Below
Position: Senior Compliance Analyst (Broker-Dealer)
Location: New York

Job Overview – Senior Compliance Analyst (Broker‑Dealer)

Compensation: $95,000 – $125,000/year + bonus

Location:

New York, NY

Schedule:

Monday to Friday (Hybrid)

Atlantic Group is hiringlicher a Senior Compliance Analyst (Broker‑Dealer مى New York, NY for our client, supporting broker‑dealer registration, licensing, and onboarding compliance across FINRA, SEC, and state regulatory requirements. This hybrid role oversees new hire registrations, FINRA Gateway filings, and regulatory recordkeeping while partnering closely with compliance, supervision, and business teams to ensure accurate reporting, regulatory adherence, and timely execution in a fast‑paced financial services environment.

Responsibilities

as the Senior Compliance Analyst:
  • Registration & Regulatory Filings: Manage and process FINRA Gateway filings including Forms U4, U5, BD,  , and applicable NFA filings, ensuring accuracy and timely submission.
  • Onboarding & Registration Oversight: Oversee pre‑hire and onboarding compliance processes, including background checks, fingerprinting, required disclosures, and Code of Ethics affirmations.
  • Registration Records Management: Maintain accurate registration and licensing records in internal systems in compliance with regulatory record‑keeping requirements.
  • Regulatory Reporting & Inquiries: Prepare reporting for management and compliance teams and research and respond to regulatory inquiries related to disclosures and disciplinary matters.
  • Licensing, Surveillance & Audit Support: Coordinate licensing and exam requirements, support cleaner compliance surveillance activities, and assist with audits and regulatory examinations.
void Qualifications for the Senior Compliance Analyst:
  • Education: Bachelor’s degree in Finance, Business, Accounting, or a teñ related field required.
  • Experience: 3-5 years of broker‑dealer compliance experience with a focus on registration, licensing, or onboarding.
  • Industry Knowledge: Strong understanding of FINRA, SEC, and state registration requirements, including CRD, IARD, and NFA platforms, with familiarity with continuing education and licensing obligations.
  • Systems & Tools: Pro эшләйficiency in FINRA Gateway, CRD, IARD, and NFA ORS, with strong working knowledge of Workday, Excel, and Microsoft Office.
  • Skills & Attributes: Highly organized, detail‑oriented professional with strong communication skills, the ability to-ak manage multiple deadlines, and adaptability to changing regulatory requirements.
Application Notice:

Qualified candidates will be contacted within 2 business days of application. If an applicant does not meet the above criteria, Atlantic Group will keep your resume on file for future opportunities and may contact you for further discussion.

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Position Requirements
10+ Years work experience
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