CI Financial

Compliance Analyst

CI Financial

full-time

Posted on:

Location Type: Hybrid

Location: DenverColoradoFloridaUnited States

Visit company website

Explore more

AI Apply
Apply

Salary

💰 $55,000 - $90,000 per year

About the role

  • Perform compliance audits and assessments to identify potential risks and areas for improvement.
  • Assist in the preparation of test planning memoranda.
  • Identify and evaluate key risks and contribute to establishing test scope.
  • Lead walkthrough meetings and discussions with the purpose of developing test scope and identifying control issues.
  • Develop and execute tests in line with monitoring and testing procedures.
  • Appropriately assess potential findings for significance and root cause.
  • Prepare test reports articulating clear and concise findings.
  • Communicate test findings to testing management and business partners.
  • Collaborate with business lines to develop remediation plans to resolve control weaknesses identified through testing.
  • Track implementation of recommended remediation plans designed to strengthen internal controls to completion as well as perform validation testing of new or updated controls.
  • Conduct targeted investigations in connection with special requests from management or related to issues uncovered in daily surveillance.
  • Perform surveillance of electronic communications to ensure compliance with company policies and applicable regulations.
  • Escalate exceptions to business and Compliance management along with supporting documentation.
  • Work to improve efficiency of rule sets through observation and testing.
  • Prepare metrics for monthly and quarterly reporting.
  • Develop and maintain strong working relationships with Business, Compliance, Legal and Risk groups.
  • Monitor and stay current on relevant laws, regulations, and industry standards.
  • Prepare and maintain accurate records and documentation related to compliance and operational activities.
  • Perform other duties and responsibilities as assigned.

Requirements

  • Bachelor's degree in business, finance, or a related field.
  • 2 + years of Financial Services Industry experience (Registered Investment Adviser experience a plus)
  • Previous experience in compliance, audit, risk or a related role.
  • Understanding of regulatory requirements and industry standards (i.e. Investment Advisors Act of 1940, Rule 206(4)-7, and federal securities laws).
  • Excellent analytical and problem-solving skills.
  • Proficiency in data analysis and reporting tools (e.g., Excel, data visualization software).
  • Strong Interview, presentation, written communication, time management, organizational and analytical skills.
  • Detail-oriented.
  • Enthusiastic, self-motivated.
  • Experience with Schwab Advisor Center (SAC) and Fidelity Wealthscape a plus.
  • Experience with Portfolio Management software and data downloads a plus.
  • Experience with Global Relay a plus.
Benefits
  • 401(k) Plan with Employer Matching
  • Four Medical Plan options that is generously subsidized by Corient
  • Employer paid Dental, Vision & Life and AD&D Insurance
  • Employer paid Short-term & Long-term Disability
  • Paid Maternity & Parental Leave
  • Flexible Spending Accounts & Health Savings Accounts
  • Dependent Care FSA
  • Commuter & Transit FSA
  • Corporate Discount Program - Perkspot
  • Training Reimbursement
  • Paid Professional Designations
  • Giving back to the community - Volunteer days
Applicant Tracking System Keywords

Tip: use these terms in your resume and cover letter to boost ATS matches.

Hard Skills & Tools
compliance auditsrisk assessmenttest planningtest executiondata analysisreportingsurveillanceremediation planningvalidation testingfinancial services experience
Soft Skills
analytical skillsproblem-solving skillscommunication skillsorganizational skillstime managementdetail-orientedself-motivatedpresentation skillsinterview skillscollaboration