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Mesirow

Supervisory Principal - Wealth Management

Posted One Month Ago
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In-Office
Highland Park, IL, USA
130K-185K Annually
Expert/Leader
In-Office
Highland Park, IL, USA
130K-185K Annually
Expert/Leader
Oversee regulatory supervision and compliance across the Wealth Management division. Review new accounts, trading activity, compliance exceptions, communications, advertising, client materials, and employee financial transactions. Develop operational procedures, coordinate with Middle Office and Legal/Compliance, interpret SEC and FINRA requirements, and approve supervisory processes. The role also supports Wealth Advisor teams, investigates potential conflicts or violations, maintains compliance documentation, and communicates brokerage policies.
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The Company:

Mesirow is an independent, employee-owned financial services firm founded in 1937. Headquartered in Chicago, with offices around the world, we serve clients through a personal, custom approach to reaching financial goals and acting as a force for social good. With capabilities spanning Private Capital & Currency, Capital Markets & Investment Banking, and Advisory Services, we invest in what matters: our clients, our communities and our culture. We are proud of our employee-owned culture, built on collaboration and shared success, empowering our professionals to develop meaningful relationships, pursue growth opportunities and make a lasting impact for our clients and communities. Mesirow has been named one of the Best Places to Work in Chicago by Crain’s Chicago Business multiple times and is one of Barron’s Top 100 RIA firms.

Our advisors provide investment and fiduciary services to individuals, families, corporations, and non-profit organizations. With over $14B in assets under management, we have earned a reputation for effectively managing our clients’ needs and goals. Wealth management has been Mesirow's flagship business for over 80 years, built around our trusted advisors who have an average tenure at the firm of over 20 years.

The Opportunity:

Supporting the Wealth Management division and working primarily in the Highland Park office, this individual will report directly to the Chief Operating Officer and assist with day-to-day regulatory compliance responsibilities relating to required daily supervision of all Wealth Advisor teams. Tasks include new accounts approvals, trade execution monitoring, advertising review and internal reviews/inquiries.

Responsibilities:

  • Responsible for oversight and supervision across the entire Wealth Management division
  • Reviewing new account paperwork and other standard account requests for suitability, appropriateness and completeness, and providing supervisory Principal approval for processing.
  • Developing procedures and working guides for operational processes, including paperwork requirements, for Wealth Advisors to utilize as a reference
  • Monitoring and reviewing daily trading activity
  • Reviewing pre-trade and post-trade compliance exception reporting, inquiring where appropriate, and maintaining evidence of such review
  • Reviewing email correspondence for conflicts of interest or prohibited behavior
  • Acting as liaison to Middle Office to ensure efficiencies, working to improve operational procedures
  • Maintaining working knowledge of Fidelity (NFS) and Schwab policies affecting Wealth Advisors workflow and communicating such policies to the Wealth Advisors business
  • Corresponding and collaborating with Legal/Compliance Department members regarding various compliance inquiries, including AML, suitability, and other compliance issues
  • Reviewing and providing pre-approval for employee personal financial transactions, working to identify any conflicts of interest
  • Reviewing advertising and client presentation material for compliance with applicable rules and regulations

Requirements:

  • Bachelor’s degree in Finance or related discipline (strongly preferred)
  • A minimum of 10 years supervisory experience
  • FINRA Series 4, 7, 66 and 24 licensed
  • Strong working knowledge of SEC and FINRA regulations and the ability to interpret and apply regulatory requirements effectively
  • Proficient in FIS Protegent, RedOak and Star Compliance
  • Exceptional oral and written communication skills
  • Superb investigative abilities and capacity to research issues
  • Strong process documentation and reporting capabilities
  • Self-motivated and self-directed
  • Strong cross-functional team participant and collaborative approach to problem solving
  • Capable of prioritizing and managing multiple tasks in a fast-paced environment
  • Professional, with a high-level of integrity and ability to maintain confidentiality
  • Advanced proficiency with Microsoft Word, Excel and Outlook and skilled generally with learning and administering technological applications

In accordance with the Illinois Pay Transparency Law, the anticipated hiring base salary for the role will be between $130,000 and $185,000 per year. However, base pay if hired will be determined on an individualized basis and is only part of the total compensation package, which, also provides the opportunity for a commission and discretionary performance bonus and the Mesirow benefit program.

EOE

Equal Opportunity Employer
This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.
HQ

Mesirow Chicago, Illinois, USA Office

353 N Clark St, Chicago, Illinois, United States, 60654 4704

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