Field Supervision Officer II
St. Louis, Saint Louis, St. Louis city, Missouri, 63105, USA
Listed on 2026-09-14
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Finance & Banking
Financial Compliance, Accounting & Finance, Regulatory Compliance Specialist
This job posting is anticipated to remain open for 30 days, from 01-Sep-2026. The posting may close early due to the volume of applicants.
Join a financial services firm where your contributions are valued. Edward Jones is a Fortune 500¹ company where people come first. With over 9 million clients and 20,000 financial advisors across the U.S. and Canada, we’re proud to be privately-owned, placing the focus on our clients rather than shareholder returns.
Behind everything we do is our purpose:
We partner for positive impact to improve the lives of our clients and colleagues, and together, better our communities and society. We are an innovative, flexible, and inclusive organization that attracts, develops, and inspires performance excellence and a sense of belonging.
People are at the center of our partnership. Edward Jones associates are seen, heard, respected, and supported. This is what we believe makes us the best place to start or build your career.
View our Purpose, Inclusion and Citizenship Report.
¹Fortune 500, published June 2024, data as of December 2023. Compensation provided for using, not obtaining, the rating.
Do you enjoy putting pieces together to understand the bigger picture and partner to solve complex issues? If so, there is an exciting career opportunity waiting for you in our Field Supervision Department!
Description:The Field Supervision Department plays a critical role in achieving the Compliance Division's purpose of promoting our client's best interests and choices by partnering to improve our culture of compliance and enable the best experience for all. Our associates are our greatest asset, and the opportunity to increase our client impact is directly related to our success in attracting, retaining, and developing a talented and diverse workforce.
Field Supervision Officers are registered with FINRA as designated supervisory principals to enforce firm and regulatory compliance rules utilize extensive electronic processing systems and exception reports to complete work and provide support to branch offices regarding client activity, firm policies, and industry regulations.
Key Responsibilities- Review of non-supervisory and basic supervisory client and branch activity to identify fraudulent or manipulative activity.
- Review of electronic communication for branch teams and home office associates.
- Verify account information and accuracy through contacts with our clients and branch teams.
- Identify supervisory issues, trends, and potential concerns in branch activity and effectively communicate them to clients, Financial Advisors, and home office associates.
- Develop and deliver training, coaching and feedback.
- Series 7 license that is currently active and has been held a minimum of one year
- Must obtain Series 9, 10, 24, and 66 within 4 months of hire
- Flexible Study Options:
Full-time and/or part-time study available, based on departmental needs. - Structured Exam Support:
Access to coaching resources to help organize and optimize your study schedule.
- Flexible Study Options:
- Insurance license is preferred
- General understanding of compliance or industry experience is preferred
- One to two years of compliance experience is preferredi>
- Bachelor's degree or equivalent experience is preferred, but not required
Candidates that live within a commutable distance from our Tempe, AZ and St. Louis, MO home office locations are expected to work in the office four days per week.
At Edward Jones, we are building a place where everyone feels like they belong. We’re proud of our associates’ contributions to the firm and the recognitions we have received.
Check out our U.S. awards and accolades:
Insights & Information Blog Postings about Edward Jones
Check out our Canadian awards and accolades:
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