• Knowledge of applicable FINRA and SEC laws and regulations, usually acquired through formal education or experience, to review trade activity, sales practice responsibilities, and to ensure compliance with policies and procedures.
• Leadership skills to assess partner competencies develop skills and provide guidance.
• Analytical and communication skills to analyze and summarize information.
• Organizational skills to coordinate sales practice supervision activities.
• Project management skills to plan, organize and deliver innovative solutions for NTSI.
• FINRA Securities Industry Essentials (SIE), 7 or 7TO, 66, 24, 4, and 53 or 52 & 53TO registrations required or willingness to acquire within specified time.
• Minimum three years of experience, preferably in compliance or supervision; or equivalent financial services industry related experience.
• Previous management or supervisory experience.
• A college or university degree and/or 5-10+ years of relevant work experience.