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Compliance Data Analyst

Job in St. Louis, Saint Louis, St. Louis city, Missouri, 63105, USA
Listing for: Focus Financial Partners
Part Time position
Listed on 2026-02-20
Job specializations:
  • Finance & Banking
    Financial Compliance, Risk Manager/Analyst, Regulatory Compliance Specialist, Financial Analyst
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below
Location: St. Louis

position summary

focus partners wealth is seeking a compliance data analyst. The compliance data analyst, in coordination with the compliance department, is responsible for collecting, analyzing, and testing data in support of the firm’s compliance program. This role performs transaction-level, periodic, and forensic testing across financial, trading, and operational data to identify potential compliance issues, emerging regulatory risks, and control gaps. The compliance data analyst supports internal reviews and internal investigations by conducting targeted data analysis, documenting findings, and assisting with issue escalation and remediation efforts, including the preparation of data and analyses for regulatory examinations and inquiries.

the compliance data analyst applies advanced analytical techniques to large volumes of financial, transactional, and operational data to support compliance monitoring, issue escalation, and regulatory reporting. The role also supports the maintenance and enhancement of the firm’s core compliance reporting systems and collaborates closely with internal stakeholders across the firm to ensure adherence to applicable laws, regulations, and internal policies and procedures.

in addition, the compliance data analyst serves as a key resource to the compliance team on special projects, including the development of compliance tools and reporting solutions designed to enhance the firm’s regulatory oversight, examination readiness, reporting accuracy, and regulatory filings.

focus provides team members the flexibility to work a hybrid schedule. Our hybrid model is defined as 3 days in office work required per week, while giving team members the option to work remotely 2 days per week, or as assigned by their team leader.

primary responsibilities
  • support the ongoing implementation, administration, and enhancement of the firm’s compliance program, including policies and procedures, the code of ethics, and related compliance manuals and documentation.
  • collect, aggregate, analyze, and test financial, trading, and operational data using transaction-level, periodic, and forensic testing methodologies to identify potential compliance issues, emerging regulatory risks, control gaps, and indicators of non-compliance.
  • prepare detailed reports and documentation for management.
  • support internal reviews and internal investigations by performing targeted data analysis, preparing investigative documentation, and assisting with issue escalation, remediation tracking, and resolution.
  • assist in identifying conflicts of interest and support efforts to eliminate, mitigate or manage such conflicts in accordance with regulatory requirements and firm policies.
  • assist in the design, implementation, and ongoing testing of internal compliance controls to assess control effectiveness and support continuous improvement.
  • support regulatory reporting and examination readiness by preparing data, analyses, and documentation in response to regulatory inquiries, examinations, and document requests.
  • maintain and enhance compliance reporting systems and tools and serve as a subject matter resource for compliance technologies and platforms (e.g., global relay, aca compliance alpha, basis code, orion, salesforce, or similar systems)
  • collaborate with business, operations, technology, and legal teams to support compliance initiatives, ensure adherence to applicable laws and regulations, and promote a culture of compliance across the firm.
  • serve as a liaison or point of contact for assigned areas of compliance oversight and special projects as directed by compliance management.
qualifications
  • 1 + years of compliance, regulatory, or audit experience in the financial industry
  • bachelor’s degree in business or related field of study
  • microsoft excel & word
  • ability to utilize crm system, such as salesforce
  • strong problem solving and decision‑making skills
  • ability to analyze and summarize data and apply critical thinking to develop conclusions from the data
  • intellectual curiosity and intelligence, as well as a proactive approach to problem‑solving
  • extensive knowledge of the investment advisers act of 1940, as amended
  • strong written…
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