Principal Control Analyst
The Principal Control Analyst is responsible for conducting supervisory reviews of submitted investment / insurance business and may be responsible for executing final principal determination for the submitted business on behalf of the firm. The incumbent is also responsible for solving a range of complex problems and receives a moderate level of guidance and direction. Lastly, the incumbents are still acquiring higher level knowledge and skills while in this role.
Primary responsibilities include :
- The incumbent is responsible for risk assessment and control evaluation, which includes conducting risk assessments to identify potential risks and control gaps within the wealth management division.
- Additionally, the incumbent is responsible for control testing and monitoring, compliance and regulatory oversight, and documentation and reporting.
- Lastly, the incumbent is responsible for stakeholder collaboration, which includes collaboration with internal stakeholders, including risk management, compliance, and business units to address control related issues.
Qualifications, Education, Certifications, and / or Other Professional Credentials :
FINRA licenses Series 7 & 63 & either Series 24 or Series 9 / 10.3+ years prior back-office Wealth Management Operations or Wealth Contact Center experience.Positive and customer-focused mindset.Proven ability to successfully have strong active listening and problem-solving skills, positive attitude and demonstrated success when interacting with customers; internal teams; and other colleagues.Demonstrated strong interpersonal, verbal, and written communication skills.Success proven ability to be successful and adapt to a fast-paced, multi-dimensional work environment using strong time management skills.Possesses detailed and goal oriented professional approach with an interest in Wealth Management and / or Investment business line.Demonstrate broad knowledge of securities and investment products and ability to assess risk such as alternative investments, options, annuities, equities, bonds / fixed income products, and insurance.Strong skills in system utilization and processing for the securities industry and business software programs (Excel, SharePoint, OneDrive, Salesforce, Wealthscape).Completed high school degree or GED equivalent.Hours & Work Schedule :
M-F : 8 : 30 AM ET - 5 : 00 PM ET - 100% in office until fully trained then potential hybrid 4 days in office 1 day work from home.Citizens will not sponsor an applicant for a work visa, such as an H1-B, for this position