Compliance Analyst - Supervision

ACA Group

Posted 3 months ago

Full Time

Durham, North Carolina

In Person

Smart Summary

Responsibilities

Ensure Registered Representatives adhere to regulatory standards and ACA Foreside compliance policies through monitoring and auditing. This includes reviewing electronic communications, social media, and supervisory logs while serving as a primary interface for supervision matters.

Qualifications

You have a Bachelor's degree or equivalent work experience and a minimum of 1 year of relevant experience, preferably in financial services. You are proficient in using standard office and regulatory software and possess strong communication and interpersonal skills. You can effectively manage multiple deadlines and demonstrate a high attention to detail.

Must Have Skills for ATS

FINRA

SEC

Series 7

Series 24

ACA Foreside compliance policies

Job Description

The Opportunity:

This position uses independent judgement and discretion to ensure all Registered Representatives adhere to regulatory standards and ACA Foreside compliance policies. The position will include serving as a primary interface with our Registered Representatives, Supervising Principals and Compliance contacts for Supervision matters.

What you’ll do:

  • Compile information related to office inspections and provide to inspectors.
  • Complete administrative tasks related to personal brokerage accounts for associated persons.
  • Enter critical information into databases and ensure data accuracy by following established procedural documentation.
  • Review electronic communications sent and received by registered representatives of the firm in various systems. Confirm compliance with policies and procedures and document escalations.
  • Utilize third party system to review social media for compliance with FINRA & ACA Foreside policies and procedures and document escalations
  • Review of supervisory logs, including gifts and entertainment for compliance with FINRA & ACA Foreside policies/procedures and document escalations.
  • Serve as a key resource for dedicated projects, as requested by management
  • Troubleshoot problems and investigate issues involving compliance matters.
  • Serve as a key resource to clients, representatives and staff including regular participation in group meetings involving compliance and related matters.
  • Knowledge and understanding of FINRA, SEC and State rules and regulations and ability to apply as appropriate for this position
  • Other tasks and projects as assigned

To qualify for the role you must have:

  • Bachelor’s degree or equivalent work experience
  • Minimum 1 year of relevant work experience, preferably in financial services

Skills and attributes for success:

  • Experienced user of standard office and regulatory software preferred
  • Excellent written and verbal communication skills
  • Strong interpersonal and collaboration skills
  • Ability to prioritize and meet multiple deadlines
  • Self-starter and team player with the ability to work with limited supervision
  • High attention to detail

 

Preferred licenses and certifications:

  • FINRA licenses preferred (Series 7 and Series 24), or ability to obtain within one year of hire

What working at ACA offers:

We offer a competitive compensation package where you’ll be rewarded based on your performance and recognized for the value you bring to our business. Our Total Rewards package includes medical and dental coverage and 401(k) plans, and a wide range of paid time off options as well as a flexible work environment. You’ll also be granted time off for designated ACA Paid Holidays, Summer Fridays, Personal/Family Care, and other leaves of absence when needed to support your physical, financial, and emotional well-being. We also offer unique benefits such as Student Debt Forgiveness and Pet Insurance.

About ACA:

ACA Group is the leading governance, risk, and compliance (GRC) advisor in financial services. We empower our clients to reimagine GRC and protect and grow their business. Our innovative approach integrates consulting, managed services, and our ComplianceAlpha® technology platform with the specialized expertise of former regulators and practitioners and our deep understanding of the global regulatory landscape.

What we commit to:

ACA is firmly committed to a policy of nondiscrimination, which applies to recruiting, hiring, placement, promotions, training, discipline, terminations, layoffs, transfers, leaves of absence, compensation and all other terms and conditions of employment. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, disability or protected veteran status, or any other legally protected basis, in accordance with applicable law.

ACA Group

ACA Group is the leading governance, risk, and compliance advisor to the financial services industry. For over 20 years, we’ve been a trusted partner to financial institutions—helping firms reduce risk, fuel growth, and protect their business. Founded by former regulators, ACA combines deep industry expertise with powerful regulatory technology to transform compliance from a requirement into a strategic advantage. We are the only end-to-end GRC provider that integrates expert advisory, managed services, distribution solutions, and analytics with our ComplianceAlpha® platform. Our global team brings clarity, confidence, and innovation to every engagement—enabling clients to meet evolving regulatory demands and lead with confidence. We’re proud to deliver trusted AI and technology solutions that help firms streamline and enhance compliance oversight, surveillance, and monitoring. From regulatory change management to marketing reviews, we help firms build smarter, more scalable compliance programs. For more information, please visit www.acaglobal.com
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