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Regulatory Compliance Associate

Job in Smithtown, Suffolk County, New York, 11787, USA
Listing for: Compliance Exchange Group
Full Time position
Listed on 2026-07-01
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist
Salary/Wage Range or Industry Benchmark: 60000 - 70000 USD Yearly USD 60000.00 70000.00 YEAR
Job Description & How to Apply Below

Regulatory Compliance Associate

CXG is seeking a Regulatory Compliance Associate to support broker-dealer and investment adviser regulatory filings, licensing applications, and corporate governance projects. This position works directly with senior leadership and legal professionals to prepare regulatory submissions, coordinate licensing applications, manage compliance documentation, and support interactions with FINRA, the SEC, state regulators, and other industry stakeholders. The ideal candidate has experience working within a broker-dealer, registered investment adviser, compliance consulting firm, or securities law practice and is interested in building expertise in financial services regulation and corporate transactions.

Clear path to grow into senior compliance & legal roles

Work closely with experienced leadership

Fast-paced, high-growth environment

Salary: $60,000 – $70,000 (based on experience)

Performance-based bonuses

PTO

Health, dental, and vision benefits

This is a full-time, in-office position based in Smithtown, NY (Monday–Friday, 40 hours per week). This role is ideal for someone highly organized, detail-oriented, and interested in building a long-term career in financial services, compliance, and regulatory operations. Compensation: $60,000.00 - $70,000.00 per year

Compliance Exchange Group (CXG) supports broker-dealers and financial services firms as they navigate complex regulatory environments and build sustainable, compliant businesses. We specialize in broker-dealer consulting and Chief Compliance Officer outsourcing, providing end-to-end support across compliance and finance functions. Our team includes experienced professionals serving in roles such as:

  • Chief Compliance Officers
  • FINOPs
  • Licensed Principals
  • Series 4 – Registered Options
  • Series 24 – General Securities
  • Series 79 – Investment Banking

CXG professionals bring deep, practical experience. Many have helped build broker-dealers from the ground up and have held leadership roles including CEO, CFO, CCO, FINOP, and board positions. This real-world background allows us to approach our work thoughtfully, pragmatically, and with a strong understanding of how firms grow. We work with startups seeking FINRA approval as well as small- to mid-sized firms looking to scale responsibly.

Our focus is on delivering solutions that are practical, collaborative, and built to last. At CXG, we value professionalism, integrity, and clear communication — both with our clients and with one another. We are building a team of people who take pride in their work, support one another, and want to grow alongside the company.

Position Requirements
10+ Years work experience
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