Senior Investigator, NCP - IRG - All Finra Locations
FINRAAbout the role
FINRA is dedicated to protecting investors and ensuring market integrity. As an independent, not-for-profit organization, we oversee brokerage firms and exchange markets, writing and enforcing rules governing the ethical activities of all registered broker-dealer firms and registered brokers in the United States. Every day, we work to safeguard the investing public against fraud and bad practices, making us a vital force in maintaining trust and fairness in America's financial markets.
The Opportunity
Step into a high-impact role where you'll serve as a frontline defender of investors and market integrity. As a Senior Investigator in FINRA's Initial Review Group (IRG), you'll be at the epicenter of regulatory intelligence—the first to assess tips, complaints, and potential violations that could harm investors or destabilize markets. This isn't a desk job; it's detective work with purpose. You'll analyze complex regulatory issues, conduct strategic interviews, and make critical recommendations that determine whether matters warrant full investigation or escalation. If you thrive in fast-paced environments where every day brings new challenges and your decisions directly protect the investing public, this is your opportunity to make a difference.
What You'll Do
- Serve as a Regulatory Gatekeeper: Evaluate regulatory intelligence from multiple sources—tips, complaints, firm filings, arbitration cases, and referrals from other regulators—to quickly identify high-risk matters requiring immediate attention
- Conduct Strategic Investigations: Lead investigations of low-to-moderate complexity, gathering evidence from internal systems, firm records, and stakeholder interviews to build comprehensive case assessments
- Make Critical Decisions: Analyze jurisdiction, assess risk to investors and markets, and make well-reasoned recommendations for appropriate regulatory responses—whether that's escalating to cause exams, referring to other departments or agencies, or closing matters
- Master the Evidence: Review and analyze firm financial statements, trading records, correspondence, order management systems, and supervisory alerts to identify patterns, sales practice violations, and emerging risks
- Interview Key Players: Conduct and facilitate interviews with registered representatives, firm management, investors, and other parties to gather critical information and evidence
- Collaborate Across the Regulatory Landscape: Partner with internal departments and external regulatory agencies to share intelligence and coordinate responses to protect investors
- Document with Precision: Memorialize facts and evidence in clear, concise, well-organized reports that support your investigative findings and recommendations
- Stay Ahead of Trends: Proactively identify emerging industry practices, products, and procedures that may present new risks to investors
- Grow and Contribute: Take initiative on additional assignments, volunteer for projects beyond core responsibilities, and continue developing your investigative and regulatory expertise
Required Qualifications
Education & Experience:
Bachelor's degree or equivalent relevant experience
Knowledge:
Understanding of relevant FINRA rules and federal securities laws
Knowledge of securities markets, member firm operations, and regulatory books and records
Demonstrated track record of risk analysis and proactive risk identification
Skills:
Strong written and oral communication abilities—you can clearly articulate complex regulatory issues to diverse audiences
Excellent analytical skills with the ability to assess and prioritize risks effectively
Strong decision-making capabilities, particularly in identifying significant regulatory issues and their broader impact
Proven ability to conduct investigations efficiently and manage time-sensitive matters in high-volume environments
Exceptional time management and organizational skills with meticulous attention to detail
Strong collaboration skills—comfortable working professionally with colleagues, management, member firms, and external parties
Proficiency with Microsoft Office suite and computer-based investigative tools
Preferred Qualifications
Advanced certifications or credentials in securities, compliance, or investigations
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