Full-Time

Principal Analyst

Risk Monitoring, Diversified, Carrying & Clearing

Posted on 4/19/2025

Finra

Finra

5,001-10,000 employees

Regulates broker-dealers and resolves disputes

Compensation Overview

$111.4k - $242.6k/yr

+ Bonus

Senior, Expert

Boston, MA, USA + 12 more

More locations: Washington, DC, USA | San Francisco, CA, USA | Los Angeles, CA, USA | North Bethesda, MD, USA | Jericho, NY, USA | Dallas, TX, USA | Philadelphia, PA, USA | Boca Raton, FL, USA | Iselin, Woodbridge Township, NJ, USA | Chicago, IL, USA | New York, NY, USA | Denver, CO, USA

Candidates can expect salary offers that range from the minimum to the mid-point of the salary range based on location. The job is hybrid, but the specific number of in-office days is not mentioned.

Category
Risk Management
Finance & Banking
Required Skills
Risk Management
Requirements
  • Bachelor's Degree in Finance, Accounting, Business or related field(s), or equivalent combination of education and relevant experience required.
  • Demonstrated analytical skills and experience, including financial industry, absorbing/processing regulatory developments and applying them to complex business models.
  • Demonstrated experience relating to one or more of the inherent industry risks (e.g. Fraud and Deception, Money Laundering, and Market).
  • Advanced knowledge of FINRA's risk fundamentals.
  • Intermediate-to-Advanced knowledge of securities rules and regulations.
  • Intermediate-to-Advanced knowledge of firm business models, business lines, customer bases, products and services.
  • Intermediate knowledge of U.S. GAAP accounting standards.
Responsibilities
  • Conducts risk monitoring activities, that can include complex or elevated risk firms with guidance and minimal supervision of a Risk Monitoring Director or designee.
  • Collaborates with internal departments to analyze, communicate and make recommendations with respect to regulatory intelligence.
  • Mentor and coach more junior level risk monitoring staff.
  • Serve in leadership roles related to special projects and technology initiatives.
  • Ability to perform as part of a team conducting monitoring (including coordination with specialists) to execute against risks of assigned firms.
Desired Qualifications
  • Graduate degree (MBA or JD) and/or relevant industry certification(s) preferred.

FINRA oversees U.S. broker-dealers to ensure fair and honest financial markets, protecting investors and maintaining market integrity through rule enforcement. It operates the largest securities dispute resolution forum in the U.S., providing arbitration and mediation services to resolve conflicts between investors and brokers. Unlike its competitors, FINRA focuses on regulatory oversight and offers educational resources, including a helpline for seniors. Its goal is to ensure that financial markets operate transparently and fairly for all participants.

Company Size

5,001-10,000

Company Stage

N/A

Total Funding

$2M

Headquarters

Washington DC, District of Columbia

Founded

2007

Simplify Jobs

Simplify's Take

What believers are saying

  • FINRA's Remote Inspections Pilot Program aligns with the trend of virtual operations.
  • The rise of ESG investing could expand FINRA's regulatory role.
  • Digital transformation in finance enhances FINRA's regulatory capabilities.

What critics are saying

  • Increased scrutiny on compliance may lead to more costly investigations.
  • New SVPs of Enforcement may signal more aggressive enforcement strategies.
  • Remote Inspections Pilot Program may introduce new compliance challenges.

What makes Finra unique

  • FINRA is the largest independent regulator for U.S. securities firms.
  • It operates the largest securities dispute resolution forum in the U.S.
  • FINRA provides a Securities Helpline for Seniors to protect older investors.

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Benefits

Health Insurance

Dental Insurance

Vision Insurance

Life Insurance

Disability Insurance

401(k) Retirement Plan

401(k) Company Match

Paid Vacation

Paid Sick Leave

Paid Holidays

Parental Leave

Wellness Program

Tuition Reimbursement

Commuter Benefits

Company News

TMCnet
Apr 21st, 2025
FINRA Announces New "FINRA Forward" Initiatives to Support Members, Markets and Investors

[April 21, 2025] FINRA announces new "FINRA forward" Initiatives to support members, markets and investors FINRA announced today the launch of FINRA forward, a series of initiatives to improve its effectiveness and efficiency in pursuing its mission.

FX Rift
Mar 10th, 2025
Robinhood To Pay $29.75M to Settle FINRA Probe Over Compliance Issues

Robinhood has agreed to pay $29.75 million to settle investigations by FINRA regarding its supervision and compliance practices.

Kurt A. Law Firm
Mar 8th, 2025
Matthew Turner Suspended by FINRA for Alleged Reg-BI Violations

Matthew Turner suspended by FINRA for alleged reg-bi violations.

InvestmentNews
Nov 5th, 2024
Finra fines Michigan BD over GPB supervision failures

Finra fines Michigan BD over GPB supervision failures.

InvestmentNews
Aug 30th, 2024
Raymond James agrees to $1.8M in Finra fines over supervision failures

Raymond James is settling with Finra for more than $1.8 million over alleged failures to supervise reporting of customer complaints and monitor 4.7 million mutual fund purchases between 2012 and 2017.

INACTIVE