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J.P. Morgan Wealth Management - Vice President Central Supervisory Manager - Tempe, AZ, Columbus, O

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JPMorgan Chase Bank, N.A.

Tempe, AZ (In Person)

Full-Time

Posted 1 week ago (Updated 16 hours ago) • Actively hiring

Expires 7/12/2026

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Job Description

Join a team where your expertise shapes the future of financial services and client experiences. As a Central Supervisory Manager, you will play a key role in ensuring the integrity and suitability of our annuity and insurance offerings. Your insights and leadership will help us deliver exceptional service and maintain our reputation for excellence. Be part of a collaborative environment that values innovation, continuous improvement, and professional growth. Make a difference for our clients, our team, and your career. As a Central Supervisory Manager in the Central Supervision team, you ensure the suitability and compliance of annuity and insurance products for our clients. You collaborate with colleagues across the organization to resolve supervisory issues and drive process improvements. You help train new team members and influence positive change. Together, we create solutions that make lives better and build long-term relationships with our clients. Job Responsibilities
  • Conduct suitability reviews for a variety of annuity and insurance products
  • Escalate supervisory issues and recommend appropriate actions
  • Partner strategically with field Supervisory Managers and registered personnel to resolve exceptions
  • Review work items escalated internally by junior team members
  • Deliver training to newly hired team members
  • Identify and drive process improvements
  • Influence stakeholders and align them to final resolutions
  • Complete project work and additional tasks as assigned
  • Articulate findings and recommendations clearly to management
  • Maintain strong organization and attention to detail
  • Meet service level agreements and project deadlines through effective time management Required Qualifications, Capabilities, and Skills
  • Minimum 7 years of experience in the securities and investment industry
  • Deep understanding of advisory services, products, and complex client accounts
  • Working knowledge of US financial regulations, including FINRA rules
  • Proven ability to make sound, risk-based decisions independently
  • Strong research, analytical, and problem-solving skills
  • Excellent interpersonal, verbal, and written communication skills
  • Ability to collaborate across multiple levels of supervision
  • Active and valid FINRA Series 7 license
  • Active and valid FINRA Series 66 (or 63 and 65), 9/10 (or 4, 24, 53), and State Life & Health Insurance license, or ability to obtain within 120 days of hire
  • Strong organization skills and attention to detail
  • Demonstrated ability to work in a dynamic, evolving team environment Preferred Qualifications, Capabilities, and Skills
  • Bachelor's degree
  • Experience delivering training and mentoring team members
  • Experience driving process improvements and change initiatives
  • Advanced analytical skills for identifying trends and patterns
  • Experience influencing.
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