Senior Director & RSA Advisor, Enforcement
FINRAAbout the role
Essential Job Functions:
- Responsible for monitoring key aspects of Enforcement cases involving RSA Exchanges and provides periodic reporting to Enforcement’s SVPs and the Head of Enforcement.
- Develops strong relationships and interfaces with RSA Exchanges on projects and other regulatory matters on behalf of Enforcement.
- Responsible for coordinating Enforcement’s work with Market Regulation and Member Supervision in RSA-related program areas.
- Coordinates with OGC and other FINRA departments, including the FINRA team responsible for managing FINRA’s relationships with the RSA Exchanges, on oversights, contract negotiations, and periodic RSA Operations meetings on behalf of Enforcement.
- Prepares senior level RSA-related reports and periodic board reports on behalf of Enforcement.
- Represents Enforcement in external working groups with FINRA and RSA Exchanges on matters of common interest.
- Represents Enforcement in FINRA senior-level meetings concerning Enforcement’s work for RSA Exchanges.
- Attends inter-departmental meetings to assist and monitor consistency in case approach across Regulatory Operations.
- Responsible for proactively providing guidance to staff on effective handling of matters involving RSA Exchanges, policy and program changes, and rule changes involving trading and markets issues.
- Coordinates novel legal policy issues and high-profile matters related to RSA Exchanges with the SVPs and Counsel to the Head of Enforcement.
- Works with the SVPs and Counsel to the Head of Enforcement in coordinating the development of inter-departmental guidance on RSA related issues.
Education/Experience Requirements:
- Position requires a law degree and admission to the bar of the highest court of the District of Columbia or state.
- Requires a minimum of twelve years of securities-related regulatory and/or legal policy experience. Working knowledge of FINRA and FINRA RSA Exchange rules is highly preferred.
- Minimum of 5 years spent working for a regulatory entity, member firm or law firm, with direct involvement in securities enforcement matters.
- Strong collaborator and team builder, with excellent written and verbal communication, interpersonal and presentation skills.
- Demonstrated ability to independently manage collaborative projects and build consensus.
- Candidate must demonstrate superior ability to prioritize complex workload, make difficult decisions, and resolve difficult issues.
For work that is performed in CA, CO, HI, MN, VT, IL, Jersey City, NJ, NY, NY, MD, Washington DC, and WA the chart below outlines the proposed salary range for the corresponding location. In addition to location, actual compensation is based on various factors, including but not limited to, the candidate’s skill set, level of experience, education, and internal peer compensation comparisons.
CA: Minimum Salary $171,900, Maximum Salary $351,200
CO/HI/MN/VT*: Minimum Salary $149,600, Maximum Salary $292,600
IL*: Minimum Salary $164,500, Maximum Salary $322,200
Jersey City, NJ/NY, NY: Minimum Salary $179,600, Maximum Salary $351,200
MD/Washington, DC: Minimum Salary $171,900, Maximum Salary $336,600
WA: Minimum Salary $149,600, Maximum Salary $336,600
*Including positions performed outside the state but reporting to an office or manager in that state.
Candidates can expect salary offers that range from the minimum to the mid-point of the salary range. FINRA provides
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