Full-Time

Sales Supervisor

Confirmed live in the last 24 hours

Integrity

Integrity

501-1,000 employees

Consulting
Financial Services
Healthcare

Entry, Junior

Austin, TX, USA

Category
Financial Planning and Analysis (FP&A)
Risk Management
Finance & Banking
Requirements
  • 2 years’ experience in the FINRA and SEC regulated Broker-Dealer/RIA space with the requisite licenses.
  • In depth knowledge of FINRA Notice to Members 10-22 regarding a Broker-Dealer’s responsibility to conduct Due Diligence on new products being offered by the Firm.
  • Thorough knowledge of Alternative Investments.
  • Committed to creating a professional environment that places a high value on, accountability, and teamwork.
  • Excellent interpersonal communication skills, both written and verbal.
  • Strong organizational skills with ability to prioritize activities.
  • Maintain a strong client focus and the desire to build relationships during each interaction.
  • Strong technical skills in the MS Office software suite (Word, Excel, PowerPoint, Outlook, etc.).
  • Capable of handling multiple tasks and responsibilities.
  • Ability to work independently and take initiative while being part of a team.
  • Proven work ethic with a high level of integrity to build trust with our clients and colleagues.
  • Can get excited about joining an experienced team and contributing to the direction and growth of the company.
  • Experience with Pershing, LLC preferred.
  • College degree preferred.
  • Series 7, 24, 63 are required.
  • Life Insurance License preferred.
  • Operational Experience preferred.
Responsibilities
  • Responsible for the supervisory review of new accounts and trades
  • Responsible for the review of written and electronic correspondence
  • Monitor policies and procedures for compliance and relevant regulation and industry best practices
  • Assist with Investment Advisory Compliance in accordance with SEC Rule 206(4)-7 of the Investment Advisers Act of 1940 and related guidance by the SEC
  • Develop BD training and education materials for the financial professionals and conduct training for the same
  • Review home-office compliance with relevant BD regulations
  • Conduct marketing material reviews
  • Monitor and review trading activity for LSF representatives outside brokerage accounts
  • Assist the CCO with the resolution of disputes, regulatory audits, and customer complaints
  • Work with the CCO and VP of Compliance and Supervision in strategic planning
  • Keep abreast of regulatory changes and updates and assist with related manual and policy and procedure updates
  • Other duties and projects as assigned
  • Familiarity with Variable Annuity and Variable Life products

Company Stage

Growth Equity (Non-Venture Capital)

Total Funding

N/A

Headquarters

Oxford, Massachusetts

Founded

2006

Growth & Insights
Headcount

6 month growth

4%

1 year growth

22%

2 year growth

88%
Simplify Jobs

Simplify's Take

What believers are saying

  • Growing demand for personalized insurance products aligns with Integrity's tailored service offerings.
  • Increased collaboration with insurtech startups boosts innovation and service delivery.
  • Expansion into telehealth services meets consumer demand for accessible healthcare solutions.

What critics are saying

  • Integration challenges with recent acquisitions may lead to operational inefficiencies.
  • Regulatory scrutiny on acquisitions could delay or complicate future deals.

What makes Integrity unique

  • Integrity's annual toy drive demonstrates strong community engagement and social responsibility.
  • Partnership with Gosen Insurance Group enhances service to Hispanic communities with tailored solutions.
  • Acquisitions like Gladstone Wealth Partners expand Integrity's wealth management capabilities significantly.

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