
A leading financial services firm in New York is seeking a Compliance Associate to support the Chief Compliance Officer. The role involves managing SEC and FINRA compliance programs and requires over 3 years of relevant experience. Key responsibilities include compliance reviews and monitoring policies. The ideal candidate possesses strong communication skills, attention to detail, and knowledge of regulations. This position offers a mix of in-office and remote work options, alongside benefits like medical and vision insurance.
#J-18808-Ljbffr