<Back to Search
Compliance Officer & AML Analyst
San Juan, SAN JUANMarch 20th, 2026
Job Description
Position SummaryThe Compliance & AML Analyst supports the Firm in executing its regulatory and supervisory responsibilities. This person reports to the Broker Dealer and RIA Chief Compliance Officers. This role is ideal for a detail-oriented professional with a strong understanding of compliance operations, documentation standards, and surveillance systems. The Compliance Officer will assist in monitoring daily activities, maintaining records, and supporting internal audits and training efforts.Key ResponsibilitiesCompliance Monitoring & SupportMonitoring proposed, adopted, and amended rules and regulations (FINRA, SEC, MSRB, state regulations, etc.)Perform FINRA Branch Office Inspections3120/3130 and 206(4)-7 annual testing for FINRA and SECManage the Firm's continuing education program for Registered Persons.Review and Approval of customer new accounts, AML/KYC, ongoing monitoring of trading activity, and Regulation Best Interest compliance.Assist in monitoring communications through surveillance platforms (e.g., Actimize, Global Relay, Sycamore/Investedge)Advisory Testing ReviewsParticipate in compliance program testing, which includes transactional and periodic testing of supervisory controlsReview documentation of Financial Crime Enforcement Network (FinCEN) postings.Review and monitor approval requests for new personal trading accounts, personal trading, outside activities and business gifts, meals and entertainment for employees of the Firm.Support documentation of disclosures, suitability reviews, and client communicationsCompile data for monthly and quarterly compliance reportsSupport the Compliance Department in preparing presentations and memosRespond to routine compliance inquiries from staff and registered representativesHelp draft internal communications regarding policy updates and regulatory changesQualifications and SkillsFINRA Series 7 certification is required.FINRA Series 24 certification is also required or ability to obtain within 3 months of hire. Series 4 and 79 a plus.Education: Bachelor's degree in Finance, Business Administration, or related fieldExperience: 4-5 years in financial services compliance or operationsFamiliarity with FINRA, SEC, and AML regulationsAbility to understand complex rules and regulations and communicate them to all levels of staff, including management, within all departments and discuss them with external relationships and to develop and implement appropriate proceduresMust show the ability to manage multiple projects, make quick decisions, use prioritization skills, and concentrate on detailed information in a fast-paced work environment and meet deadlinesStrong organizational and analytical skillsProficiency in Microsoft Office Suite and compliance platformsBilingual (English/Spanish) preferredLexis NexisWork EnvironmentThis role is based in a professional securities office in Guaynabo, Puerto Rico. It requires a polished, compliance-focused demeanor and may involve occasional overtime to meet regulatory deadlines or support audits.Equal Employment Opportunity StatementWe are an Equal Employment Opportunity employer. We are committed to providing a workplace free from discrimination or harassment based on race, color, religion, creed, sex, gender identity or expression, sexual orientation, national origin, age, disability, marital status, veteran status, genetic information, or any other protected status under applicable federal, state, or local laws. We value diversity and encourage individuals from all backgrounds to apply.
Showing 800 of 16,106 matching similar jobs in Springbrook, ND
- Drug Safety Manager
- Remote Healthcare Fraud & Waste Investigator
- Privacy Investigations Compliance Analyst - Remote - NationwideRemoteMarch 29th, 2026
- Remote Reinsurance Finance Manager – SOX & ControlsRemoteMarch 29th, 2026
- Payments Risk Analyst: Shadow & Merchant Onboard (Remote)RemoteMarch 29th, 2026
- Auditor de Loja Biguaçu - SC Full-time employee
- Internal Controls & Tax Specialist — Hybrid Growth Traineeship
- Global Finance & Reporting Analyst (SOX & Audit)
- Remote FinTech Compliance Specialist
- Remote FinTech Compliance Specialist (1–2 yrs)
- Remote FinTech Compliance Lead: Risk & Regulatory StrategyRemoteMarch 29th, 2026
- Senior Segment Risk & Controls Specialist (Remote)
- Remote Premium Auditor - Workers' Comp & General LiabilityRemoteMarch 29th, 2026
- Remote Internal Audit Intern: Hands-On Risk & ControlsRemoteMarch 29th, 2026
- Remote Credentialing Specialist – Healthcare Compliance
- Internal Audit Intern - RemoteRemoteMarch 29th, 2026
- Remote Influencer Risk & Compliance Analyst
- Remote Regulatory Affairs Pharmacist – Compliance Expert
- Remote Physical Premium Auditor | Flexible Schedule, KYRemoteMarch 29th, 2026
- Remote Financial Compliance AnalystRemoteMarch 29th, 2026
- Principle Compliance Specialist (Remote)RemoteMarch 30th, 2026
- Senior Compliance Analyst (Remote) – SOX/GDPR/HIPAA
- Remote Compliance Manager – Financial ServicesRemoteMarch 30th, 2026
- KYC & AML Account Review Specialist — RemoteRemoteMarch 30th, 2026
- Remote Risk Assessments & Compliance Analytics Lead
- Remote Premium Auditor – Workers' Comp & LiabilityRemoteMarch 30th, 2026
- Senior Corporate and Compliance Counsel
- Chief Compliance Officer (CCO)
- Director of Cybersecurity and Privacy Risk Advisor
- Director of Cybersecurity and Privacy Risk Advisor
- Director of Cybersecurity and Privacy Risk Advisor
- Vice President, Corporate Compliance
- Director of Cybersecurity and Privacy Risk Advisor
- Director of Cybersecurity and Privacy Risk Advisor
- Director of Cybersecurity and Privacy Risk Advisor
- Vice Chancellor, Legal Affairs, Risk & Compliance & General Counsel
- Safety Specialist
- General Counsel
- Director of Cybersecurity and Privacy Risk Advisor
- Chief Compliance Officer (CCO)