Accountant III
Mindlance - jersey city, NJ
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Business Overview: Demonstrate the firm's commitment to compliance by maintaining a compliance testing review program that evaluates the firm's compliance with applicable laws and regulations and discloses violations and control weaknesses. Conduct compliance testing reviews of the various front office business areas, branches, and operations areas and provide senior management with detailed reports regarding the extent of the firm's compliance with applicable laws and regulations along with value-added comments and recommendations where appropriate. Also, assist in the firm's various certification processes, coordinate reporting of compliance metrics to the US Intermediate Holding Company and Head Office and participate in special projects/investigations as needed. Escalate potential issues and exception items noted during the review process to CIT Manager / CIT Head for discussion and further investigation if deemed necessary. Draft and validate issues and recommendations addressing the root cause of the issues with stakeholders. Draft reports detailing regulatory requirements, testing conducted, review findings and recommendations. Issue final reports to senior management. Ensure that all findings and recommendations are entered into the Reporting & Issue Tracking Application database for tracking purposes and perform periodic follow-up of open issues to ensure proper resolution. Periodically report on significant activities conducted and planned for the upcoming period, including various metrics. Conduct adhoc testwork of various rules and regulations in conjunction with the annual CEO/CCO Certifications. ssist with the annual CEO/CCO Certifications as needed. Initiate and conduct projects within CIT to enhance the team's processes to reach overall team goals. Conduct various CIT tasks in the normal course of business and in addition to testing. Conduct or assist with special investigations and projects as deemed necessary by senior Compliance and business management. ssist in compliance related matters during examinations by the Firm's regulators and internal auditors. chieve objectives within strict time constraints. Minimum Required Qualifications: The desired skills for this position include: Strong testing, audit and/or regulatory experience of regulatory requirements, processes and controls. Strong knowledge of U.S. securities, commodities, and banking regulations, including the rules and regulations of the SEC (i.e., SEC Rule 15c3-5, SEC Rule 15a-6), CFTC and all exchanges and associations under such federal agencies, including Client, NYSE, CBOE, Client, CME, NYMEX and ICE US. Such knowledge should also include Client Board regulations, Volcker, CFTC Swap Dealer, and SEC Swap Dealer requirements. Strong industry knowledge and working knowledge of the financial services focused on broker-dealer, futures and banking activities. Strong ability to apply knowledge of rules and regulations to numerous types of trading and banking activities and operational arrangements in addition to interpreting the effect of new regulations on these activities. Excellent interpersonal and communication skills with the ability to interact effectively with front and back office staff and senior management. Excellent writing skills summarizing regulatory requirements, testing performed, results, findings and recommendations. Excellent execution skills with the ability to work successfully under demanding deadlines within a change management environment, manage multiple compliance reviews/projects/tasks at the same time, and meet deadlines. Strong analytical and investigative skills. Problem solving and root cause identification skills. cute business acumen and understanding of organizational issues and challenges. Strong organizational and project management skills, and attention to detail. Demonstrate and influence others with a positive attitude in the workplace and the ability to accept accountability. Strong computer skills including MS Office Suite, PowerBI, and Sharepoint administration. Eight to twelve years of experience with a financial services firm and/or self-regulatory organization in a Compliance Testing, Internal Audit or regulatory related position. BA or BS Degree a must. Preferred Qualifications: Graduate Degree a plus. Professional Certification or Securities licenses preferred (SIE, Series 3, 4, 7, 9 / 10, 24). Speaks and reads Spanish or French a plus. Client Registrations Required: SIE or equivalent (must be obtained within the first year of employment) Series 7 (may be taken after the SIE) EEO: "Mindlance is an Equal Opportunity Employer and does not discriminate in employment on the basis of - Minority/Gender/Disability/Religion/LGBTQI/Age/Veterans."
Created: 2024-11-05