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        Compliance Careers- All Levels
- Raymond James Financial, Inc. (St. Petersburg, FL)
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             Key Responsibilities Depending on level and area of focus, responsibilities may include: + Supporting or leading compliance program development, implementation, and oversight across various business units. + Assisting in the alignment of compliance processes with central compliance standards and regulatory requirements + Conducting compliance exams, testing, monitoring, and reporting, and surveillance activities. + Participating in regulatory examinations and internal audits, including preparation and response coordination. + Collaborating with internal stakeholders including AML, Compliance, Risk, and Legal to identify and resolve compliance issues. + Contributing to the design and delivery of compliance training and continuing education programs. + Supporting automation and process improvement initiatives to enhance compliance efficiency. + Serving as a liaison for compliance-related committees, projects, and cross-functional initiatives. + Advising business units on regulatory changes and risk mitigation strategies. + Coaching and mentoring junior compliance staff (for mid-to-senior level roles). Qualifications Knowledge of: + Regulatory frameworks including SEC, FINRA, OCC, FDIC, FRB, FFIEC; CFPB and other relevant agencies. + Securities and/or banking industry operations and financial products. + Risk management principles and compliance monitoring techniques. Skills in: + Analytical thinking, researching and problem-solving compliance issues. + Effective communication—both written and verbal. + Project management and prioritization. + Microsoft Office Suite (Excel, PowerPoint, Word); familiarity with compliance systems/tools is a plus. Ability to: + Work independently and collaboratively in a fast-paced environment. + Prioritizing tasks while adapting to changing regulatory landscapes and business needs. + Establish and maintain effective working relationships at all organizational levels + Maintain confidentiality and exercise sound judgment. + Interpret and apply policies and recommend improvements. Ideal Candidate Profiles We are seeking candidates across the following levels: + **Entry-Level** : Professionals with 1–3 years of experience in compliance, risk, audit, or related fields. + **Mid-Level** : Professionals with 4–7 years of experience, capable of managing projects and mentoring junior staff. + **Senior-Level** : Experts with 8+ years of experience, strategic thinkers who can lead programs and influence compliance culture. Education & Experience + Bachelor’s Degree required. + Relevant experience in securities, banking, or financial services compliance. + Equivalent combinations of education, training, and experience may be considered. Licenses/Certifications + None required, though certifications such as CRCM, CAMS, or FINRA Series licenses are preferred. Location & Travel + Roles are based in St. Petersburg, Florida (Must be local or have the ability to relocate prior to start date). + Travel requirements vary by role and level. 
 
 
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