Member of the Division Supervision management team and participates in all the Division Supervision management meetings regarding strategies, advisor communications, policies and procedures, etc.
Primary responsibility for all risk, supervisory, and compliance function for respective Division Supervision management team location(s) – works with the Branch Managers and Division Supervision Officers to ensure appropriate supervisory coverage is maintained at all times
Ensures Division Supervision Officers are aware and involved in managing supervisory and risk management issues through regular meetings, reporting/metrics, and escalations
Facilitates any supervisory inquiry or process that requires escalation from the field
Acts as a point of escalation for the central supervision centers of expertise and works with these areas to resolve any supervision issues with advisors and/or field management in their respective regions
Provides review and approval for any policy exceptions or branch processes that require senior management approval within the Division Supervision management team
Interacts with the central review team to share trends and patterns and discuss FA/Client visits -- Builds intelligence on risk in regard to clients and FAs within their region
Will work with Branch Managers to make proactive client contact in determining suitability and managing risk when appropriate
Performs a quality check on a portion of the supervisory issues that are remediated and documented for their by either the central supervision centers of expertise or local branch management
Supports the preparation for and response to internal or regulatory audits and tracks identified issues by audit, regulators, and self assessments to ensure that actions are taken and issues are remediated
Liaises with the Legal and Compliance Division with customer complaints and litigation
Ensure proper procedures are in place for the Division Supervision management team to ensure that approvals are handled appropriately and timely -- Monitors and implements consistent enterprise procedures to manage all facets of risk, including data security
Facilitates regular and consistent communication of Raymond James RJFS policies and other regulations
Provides coaching and guidance on policies and procedures in order to promote risk awareness and a compliant environment