Branch Inspections Compliance Analyst jobs in United States
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StoneX Group Inc. · 7 hours ago

Branch Inspections Compliance Analyst

StoneX Group Inc. is a Fortune-100 provider connecting clients to global markets. The Branch Inspections Compliance Analyst will plan and conduct branch examinations and perform compliance duties as part of a team, ensuring adherence to regulatory requirements.

FinanceFinancial ServicesIntellectual Property
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H1B Sponsor Likelynote

Responsibilities

Conduct scheduled and unscheduled branch office inspections across all registered and non-registered office locations, for multiple StoneX broker dealers and RIAs, both onsite and remote
Review branch operations, sales practices, supervisory procedures, and recordkeeping for compliance with FINRA, SEC, and other applicable regulations
Properly document findings, recommendations, and required corrective actions
Prepare detailed examination reports outlining findings, recommendations, and required corrective actions
Assist in the development and ongoing maintenance of comprehensive Written Supervisory Procedures (WSPs)
Conduct assigned supervisory control testing and document results
Interpret and apply relevant securities laws and regulations related to the role’s responsibilities
Provide guidance, education, and training firm employees, representatives, and business units on regulatory changes, compliance matters, internal policies, and industry best practices
Prepare detailed examination reports outlining findings, recommendations, and required corrective actions
Support responses to regulatory inquiries, examinations, and investigations as needed
Foster collaborative and professional relationships with business partners
Participate in compliance-related and cross-functional projects as assigned
Perform other duties and responsibilities as assigned by management

Qualification

FINRA knowledgeSEC regulationsCompliance experienceAnalytical skillsLeadership capabilitiesMicrosoft Office SuiteBroker-dealer operationsProfessionalismEthical conductInvestigative skillsVerbal communicationWritten communicationProblem-solving skillsRelationship buildingDecision-making judgment

Required

Minimum of 5 years of experience in a compliance-related role within the financial services industry
Strong knowledge of FINRA, SEC, and other regulatory requirements
Demonstrated analytical, problem-solving, and investigative skills
Strong leadership capabilities and sound decision-making judgment
Excellent verbal and written communication skills
Proficiency in Microsoft Office Suite, particularly Excel
Ability to build and maintain positive, productive relationships across departments and with external stakeholders
Broad understanding of broker-dealer operations and applicable regulatory frameworks
Must uphold and model a high standard of professionalism and ethical conduct
Bachelor's degree in management, Finance, or a related field
Must possess FINRA Series 7 and Series 24 licenses

Preferred

Prior experience conducting branch audits or examinations preferred

Benefits

Full range of medical, financial, and/or other benefits

Company

StoneX Group Inc.

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Connection isn't just something we provide—it's who we are. StoneX Group Inc.

H1B Sponsorship

StoneX Group Inc. has a track record of offering H1B sponsorships. Please note that this does not guarantee sponsorship for this specific role. Below presents additional info for your reference. (Data Powered by US Department of Labor)
Distribution of Different Job Fields Receiving Sponsorship
Represents job field similar to this job
Trends of Total Sponsorships
2025 (18)
2024 (14)
2023 (27)
2022 (15)
2021 (19)
2020 (4)

Funding

Current Stage
Public Company
Total Funding
$1.18B
2025-06-23Post Ipo Debt· $625M
2024-02-15Post Ipo Debt· $550M
2003-01-10IPO

Leadership Team

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Glenn Stevens
CEO
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Sean O'Connor
Chief Executive Officer
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Company data provided by crunchbase