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AW
Aldrich Wealth LP
Compliance Specialist
Career Insights for Compliance Officer / Analyst
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Based on Oregon data
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What they do
A Compliance Officer or Analyst monitors internal compliance with company policies and also company compliance with local, state and federal laws. Reviews company documents, including contracts and marketing materials; communicates with employees and develops training and internal policy materials.
$78,567 / year median in Oregon
-2% projected decline
Job Description
Description We are seeking a detailed oriented and analytical professional to join our compliance team as a Compliance Specialist . This individual will work closely with our Chief Compliance Officer in administering our firm's compliance program. This position helps ensure compliance with the Investment Advisers Act of 1940, SEC rules, and firm policies while promoting a culture of fiduciary responsibility, risk management, and regulatory excellence. Why Aldrich Wealth Aldrich Wealth is a dynamic, fast-growing, and established independent registered investment advisor (RIA) at the forefront of the industry. As an RIA that provides a broad array of financial services to high net worth individuals and corporate retirement plans, we have been recognized by Oregon Business Magazine and San Diego Business Journal as Best Places to Work in both our Oregon and California regions and manage approximately $7 billion in assets. Our holistic approach, paired with high-touch service, weaves together financial planning, wealth-building, wealth-preservation, and life goals. We guide our clients through today's financial complexities to protect and grow their financial assets for tomorrow. Check out more about Aldrich at https://wealthadvisors.com/. Requirements What You Bring to the Team Bachelor's degree from an accredited college/university or applicable years of experience in the Financial Services industry. Minimum of 3 years of experience of SEC regulatory compliance experience. Experience in applying industry regulatory requirements and developing, implementing, and maintaining written compliance policies and procedures. Series 65 license or other qualifying professional designation. Experience supporting an SEC-registered RIA strongly preferred.