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Sr. Supervisory Principal

LPL Financial
Remote North Carolina, United States, United StatesRemotefull_timeVerifiedPosted 13 Oct 2025
💰 $136,125/yr($81,675/yr$136,125/yr)

About the role

What if you could build a career where ambition meets innovation? At LPL Financial, we empower professionals to shape their success while helping clients pursue their financial goals with confidence. What if you could have access to cutting-edge resources, a collaborative environment, and the freedom to make an impact? If you're ready to take the next step, discover what’s possible with LPL Financial.

Job Overview:

The Senior Regional Supervisory Principal (RSP) is the first line supervisor for HOS advisor and OSJ managers

in their designated region. The Sr. Regional Supervisory Principal is charged with maintaining ongoing

relationships with their designated advisors and OSJs to educate, guide, and assist them with their compliance

responsibilities. They will act as a point of contact and assist where necessary to help build compliant business

partnerships with LPL Financial. The Sr. Regional Supervisory Principal will be responsible for ensuring that the

assigned financial advisors are meeting the standards and requirements of supervision set forth by regulatory

agencies and the Firm.

Responsibilities:

  • First line supervisory responsibility for HOS advisors and/or OSJ managers

  • Proactively engage with supervisory team on a daily basis to form a collaborative environment amongst team members

  • Ensures advisor and OSJ understanding and compliance with all firm and industry requirements by proactively communicating the firm’s policies and procedures

  • Strong soft skills and ability to provide exceptional service while maintaining positive relationships to HOS advisors, OSJ Managers and support staff

  • Must have the ability to communicate across all departments at LPL to resolve escalated issues

  • Act as main point of contact for supervision related questions

  • Engages in regular supervisory office visits (SOV’s) with assigned HOS advisors and OSJ Managers in order to promote company supervisory practices, follow up on audit findings and proactively addressing potential compliance issues to minimize risk to the client, the OSJ and the firm

  • Identifies suspicious patterns in sales and business practice. Conducts investigations and appropriate corrective action, as needed, in collaboration with supervision management and other internal business units

  • Identifies and executes training based on advisor needs and opportunities

  • Actively monitor the supervisory systems for their assigned advisors and OSJs and assist in the resolution of heightened transaction review issues and various other situations where the first line supervisor must be involved and make the final decision

  • Acts as a conduit of information between the Home Office and the field to assist with problem solving.

  • Assist with regulatory exams and requests as well as assist with other internal investigations and reviews relative to supervised advisors and OSJs

  • Service Management:

    • Responsible for leading and supporting their management and supervisory pod with escalations while maintaining positive relationships with Advisors and stakeholders throughout the firm.

    • Engage and coordinate with key business leaders as well as other internal departments to socialize concerns and escalated matters with senior leaders as needed.

    • Will be supported by a supervisory team responsible for ensuring that the assigned financial advisors are meeting the standards and requirements of supervision set forth by regulatory agencies and the firm.

What are we looking for?

We’re looking for strong collaborators who deliver exceptional client experiences and thrive in fast-paced, team-oriented environments. Our ideal candidates pursue greatness, act with integrity, and are driven to help our clients succeed. We value those who embrace creativity, continuous improvement, and contribute to a culture where we win together and create and share joy in our work.

Requirements:

  • 7+ years of experience in supervision, compliance and/or regulatory matters

  • Series 7, 9 AND 10 (OR Series 24); Series 4 AND 53 and Series 66 (OR S63 AND S65)

Core Competencies:

  • Must possess the ability to interpret FINRA, SEC, and state regulations and develop and apply certain policies and procedures within the scope of the current regulatory environment in an attempt to mitigate risk and protect the firm.

  • Strong industry acumen, self-starter and the ability to work independently

  • Ability to multi-task, prioritize, problem solve, trouble shoot, and follow

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Company

LPL Financial

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