
10,000+ employees
Founded 1962
💼 Consulting
🛡️ Insurance
💸 Finance
Consulting • Insurance • Finance
Raymond James is a global financial services firm that offers a comprehensive range of investment solutions including wealth management, asset management, and investment banking services. The firm specializes in providing tailored financial planning and investment advice to individuals and institutions, with a focus on retirement planning, estate management, and financial education. Backed by a strong team of financial advisors and industry expertise, Raymond James is committed to helping clients achieve their financial goals through personalized services.
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10,000+ employees
Founded 1962
💼 Consulting
🛡️ Insurance
💸 Finance
Consulting • Insurance • Finance
Raymond James is a global financial services firm that offers a comprehensive range of investment solutions including wealth management, asset management, and investment banking services. The firm specializes in providing tailored financial planning and investment advice to individuals and institutions, with a focus on retirement planning, estate management, and financial education. Backed by a strong team of financial advisors and industry expertise, Raymond James is committed to helping clients achieve their financial goals through personalized services.
• Execute the risk-based branch examination program in FINRA-registered and non-registered Private Client Group branches across the country • Conduct onsite branch examinations of retail brokerage offices, including reviewing supervisory systems, physical locations, onsite files, documentation, and interviewing employees • Document testing activities in the branch exam system and related work papers • Apply prescribed sampling methodologies and appropriate risk weights to testing activities and findings • Communicate exam findings to branch management, exam managers, and compliance leadership • Report findings and complete follow-up activities in a timely manner • Identify and escalate risks and adverse trends • Provide compliance support to business partners • Maintain regular interaction with Compliance and Supervision partners • Complete special and ad hoc reviews and projects • Provide guidance and mentoring to less-experienced peers
• Bachelor’s degree (B.A./B.S.) and a minimum of three (3) years of licensed examination experience, or an equivalent combination of experience, education, and/or training approved by Human Resources • Appropriate series license(s) for the assigned functional area required or ability to obtain within an established timeframe • Series 7, 24, or willingness to obtain within 120 days of employment; Series 9 and 10 may be used instead of Series 24 • Advanced knowledge of securities industry, broker/dealer compliance, and/or branch examinations • Knowledge of SEC, FINRA, and state securities regulatory agency rules and regulations • Knowledge of investment concepts, practices, procedures, financial markets, and products • Thorough and balanced documentation skills • Clear, concise written and oral cross-functional communication skills • Proficiency in Microsoft Word and Excel • Ability to work under pressure on multiple concurrent tasks in a fast-paced environment • Ability to manage time exceptionally well and remain highly organized • Ability to understand and apply PCG policies and procedures • Ability to work independently and collaboratively • Up to 50% travel
• Medical, dental, and vision insurance • Life insurance • Critical illness insurance • Accident insurance • Disability benefits • Retirement savings • Paid time off, including vacation, holidays, and sick leave • Parental leave • Professional development opportunities • Enriching networking groups • Diversity and inclusion support
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