Financial Control Analyst
Listed on 2026-10-05
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Finance & Banking
Financial Compliance, Regulatory Compliance Specialist
The Office of Financial Regulation (OFR) is responsible for licensing, chartering, examining, and regulating depository and non-depository financial institutions and financial service companies, including state-chartered banks, credit unions, trust companies, loan originators, mortgage lenders, securities dealers, investment advisors, consumer collection agencies and money transmitters throughout the state of Florida.
The OFR is a professional office environment with a public service-driven mission.
Visit our website at https://(Use the "Apply for this Job" box below). to learn more about the excellent benefits available to OFR employees, including:
- Flexible work schedules for most positions.
- Paid holidays and an annual personal holiday.
- Paid vacation and sick leave.
- Excellent health & life insurance options for individuals and/or family coverage.
- Tax deferred medical and Dependent Care Benefit reimbursement accounts available.
- Deferred Compensation opportunities.
- Tuition waivers to attend state universities/community colleges.
- Retirement plans and options.
- Public Service Loan Forgiveness program.
- Four (4) or more years of professional examination, regulatory or compliance work experience relating to securities dealers, investment advisers, financial institutions, financial services companies, and insurance companies is required. A post‑secondary degree may be used as an alternative for years of experience on a year‑for‑year basis.
- A bachelor’s degree or master’s degree from an accredited college or university with a major course of study in compliance, accounting, finance, economics, business, insurance, or risk management and individuals with a juris doctor degree from an accredited law school.
- Three (3) or more years of recent professional experience in analyzing, investigating, examining, or auditing within the securities, banking, and insurance industries or similar experience in another financial services industry subject to complex review, including similar experience within federal, state, or local government.
- Three (3) or more years of professional experience working in risk management, compliance, operations, or the front office of an investment adviser or broker dealer.
- Individuals who hold or have held securities industry licenses, regulatory compliance certifications, or other relevant designations, including but not limited to, Certified Fraud Examiner (CFE);
Certified Anti‑Money Laundering Specialist (ACAMS); and/or a Certified Public Accountant (CPA) designation.
SKILLS AND ABILITIES
1. Ability to follow standardized operating procedures.
2. Ability to compile, analyze, and present data.
3. Ability to conduct research.
4. Ability to evaluate complex information.
5. Ability to apply complex laws and regulations to facts
6. Ability to communicate effectively both orally and in writing.
7. Ability to utilize problem solving techniques.
8. Ability to establish and maintain effective working relationships with others.
9. Ability to work independently.
10. Ability to use computer hardware and software.
11. High level of knowledge of Excel
12. High level of knowledge of examination processes.
13. High level of knowledge of preparing written reports supported by evidence
14. High level of knowledge of applicable statutes and administrative rules.
15. High level of knowledge of financial industry practices.
Special Notes Previous Applicants Need Not ReapplyThis position requires a security background check, including fingerprint as a condition of employment.
This position requires approximately 25-50% frequent/overnight travel and a current Driver’s License.
The anticipated salary for this position is…
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