Relomote
Remote JobsRelocation Jobs
Add companySaved
Relomote

Relomote is a job board for remote, hybrid, and relocation jobs — every listing AI-classified for the countries it actually hires from, or the visa and relocation support it offers.

LinkedInCrunchbase

Remote jobs by category

  • Remote Engineering & Development jobs
  • Remote Customer Support jobs
  • Remote Design jobs
  • Remote Marketing jobs
  • Remote Sales jobs
  • Remote Product jobs
  • Remote Data & Analytics jobs
  • Remote People & Talent jobs
  • Remote Writing & Content Creation jobs
  • Remote Finance jobs
  • Remote Legal & Compliance jobs
  • Remote Operations & Admin jobs
  • Remote Data Entry jobs
  • Remote Virtual Assistant jobs
  • Remote Education/Training jobs
  • Remote Healthcare/Clinical jobs
  • Remote Other jobs

Remote jobs by location

  • Work from anywhere jobs
  • Remote jobs in Africa
  • Remote jobs in Asia
  • Remote jobs in Europe
  • Remote jobs in Latin America
  • Remote jobs in Middle East
  • Remote jobs in North America
  • Remote jobs in Oceania
  • All remote jobs →

Relocation & visa sponsorship

  • Visa sponsorship jobs
  • Relocation package jobs
  • Relocate to Europe
  • Relocate to Germany
  • Relocate to Netherlands
  • Relocate to Spain
  • Relocate to Portugal
  • Relocate to Greece
  • Relocate to United Kingdom
  • Relocate to Canada
  • Relocate to Australia
  • Relocate to Sweden
  • Relocate to Switzerland
  • Relocate to Japan
  • Relocate to United Arab Emirates
  • All relocation jobs →

© 2026 RelomoteAboutPrivacyTerms

Contact [email protected] · Built by Mahmoud

Relomote
Remote JobsRelocation Jobs
Add companySaved
CN

Compliance Specialist

CNL
Posted Jun 12, 2026, 4:38 AM UTC
🇺🇸United States🏢Hybrid📁Legal & Compliance
Is this job info correct?

Description Position Summary: The primary responsibility of the position is to assist CNL Securities Compliance in the effective administration of compliance oversight of securities activities to ensure compliant processes of associated persons as mandated by FINRA, SEC, and state regulatory entities. The Compliance Specialist will assist the CCO and the Compliance and Legal team with various aspects of administrative activities, reporting, testing, and become familiar with firm activities and processes. This role will primarily assist the CCO on specific compliance administration tasks and special projects with an expectation to become the owner of multiple initiatives over a short period of time. Areas of focus include the responsibilities itemized below and will include other areas or projects as identified. Responsibilities: Work to understand firm procedures and written supervisory procedures (WSPs) to a level sufficient to understand securities industry standards and effective oversight processes utilized by supervising principals; work to understand and become versed in the process of regulatory change appropriate to CSC Support CCO with Supervisory Control Program including components of testing, verification and assessment of Firm’s written supervisory policies and procedures, including identifying internal control effectiveness; understanding the Firm’s supervisory system; written reporting to CCO and Compliance and Legal team, as needed or requested Learn to identify policy and procedure inconsistencies derived from testing, monitoring or general operating exceptions in sales environment; escalate issues as necessary and follow through on any implemented reporting or remediation plans on behalf of the compliance program File, maintain and update firm and registered representatives’ registrations, licensing and regulatory filings as directed by the CCO Review and maintain registered representatives’ and associated persons’ brokerage account submissions and attestations through the Firm’s compliance platform Assist CCO with branch, home office and other audits, as requested, including audit program preparation, reporting and evaluation of registered rep compliance with Firm and securities industry rules and regulations Operate in a manner of open communication and teamwork Perform surveillance and monitoring of associated persons email and social media activities as assigned and under the direction of the CCO, identifying deviations from firm policies and procedures or industry regulation; ensure follow up as directed assisting the CCO to resolution or conclusion; ensure proper documentation is retained in Firm’s files Support the firm in its accommodation accounts review and testing; to ensure the firm is complying with securities industry rules and regulations Administrative assistance in maintenance of books and records and compliance documentation at industry standards Assist the CCO with administrative functions of the Firm Element CE Administration, including annual Needs Assessment, program evaluation, course assignment, performance monitoring and reporting Assist the AMLCO with AML program administrative tasks, reporting, recordkeeping and testing as necessary Assist the CCO with Business Continuity Plan administration, including administrative review and testing, and updating as directed Assist in drafting or developing procedural documentation evidencing various service groups and processes as related to CSC Competencies: Strong organizational skills High attention to detail; process oriented Ability to self-prioritize; demonstrates initiative Knowledgeable as to auditing protocols and testing processes Ability to identify risks, recommend solutions, prioritize, and document protocol Knowledgeable as to securities regulation a plus Knowledge of FINRA and SEC regulations and compliance industry best practices a plus Strong verbal and written communication skills Strong interpersonal skills; works well independently and in a team environment. High value on integrity; professional demeanor; ability to treat sensitive matter with discretion Positive attitude and team player Ability to work well under pressure Results oriented Strives to learn and keep familiar with changing regulations and environments Able to adapt to regular changes in rules or procedures Intellectually curious, enjoys doing research Education/Experience : 3+ years broker/dealer or equivalent securities industry experience preferred BS degree preferred FINRA Series 7, and 63 or 66 registrations a plus; registrations will be required to advance within the role Series 24 registration a plus; registrations will be required to advance within the role Work Schedule: 40-hour week Salaried, exempt Travel : None

Similar jobs

Similar jobs

TA

Tax Compliance Specialist - Remote

Taxsolve

🇺🇸United States12 hours ago
Definiti LLC logo

Document Compliance Specialist

Definiti LLC

🇺🇸United States19 hours ago
IntelliPro Group Inc. logo

Compliance Specialist, Licensing - Remote

IntelliPro Group Inc.

🇺🇸United States19 hours ago
Colure Health logo

Compliance Specialist

Colure Health

🇺🇸United States19 hours ago
CH

Healthcare Compliance Specialist- Remote

CHP Health

🇺🇸United States20 hours ago
QI

Documentation & Materials Compliance Specialist

QvalFocus Inc.

🇺🇸United States21 hours ago