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Branch Compliance Senior Manager NY, NY; HYBRID

Job in New York City, Richmond County, New York, USA
Listing for: AXA Equitable Holdings,Inc,
Full Time, Part Time position
Listed on 2026-02-05
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Risk Manager/Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 102000 - 120000 USD Yearly USD 102000.00 120000.00 YEAR
Job Description & How to Apply Below
Position: Branch Compliance Senior Manager NY, NY (HYBRID)
About the Role

At Equitable, we help clients secure their financial well-being so they can pursue long and fulfilling lives- a mission we've honed since 1859.

Equitable is looking for a dynamic Branch Compliance Senior Manager to join our Branch Compliance team! This position requires you to work onsite in the New York, NY office.

What You'll Be Doing

* Provide compliance support to Complex Controls Chief for the Greater New York Complex

* Review and investigate actions that trigger flags in various review systems

* Conduct annual financial advisor compliance interviews/audits, including inspection of business practices and registered location

* Assist in training, education of financial advisors

* Prepare for regulatory and internal audits

Hybrid - This position offers a hybrid work schedule, with an on-site presence of 2-3 days per week combining flexibility with team collaboration.

The base salary range for this position is $102,000 - $120,000. Actual base salaries vary based on skills, experience, and geographical location. In addition to base pay, Equitable provides compensation to reward performance with base salary increases, spot bonuses, and short-term incentive compensation opportunities. Eligibility for these programs depends on level and functional area of responsibility.

For eligible employees, Equitable provides a full range of benefits. This includes medical, dental, vision, a 401(k) plan, and paid time off. For detailed descriptions of these benefits, please reference the link below.

Equitable

Pay and Benefits:

Equitable Total Rewards Program

What You Will Bring

* Bachelors degree or equivalent professional work experience

* Compliance professional with experience in supervising Financial Advisor activities

* Experience and knowledge of Insurance, Annuities, Brokerage/Advisory, Alternatives, etc. products

* FINRA Series 7 and 66 upon hire

* FINRA Series 24 registration upon hire or ability to obtain within 90 days of employment

Preferred Qualifications

* Ability to function independently with proactive decision-making skills

* Successful collaborator with exceptional communication skills

* Proven success in leading, assessing, quantifying, testing and implementing controls to ensure compliance with internal business process rules and external regulations for an organization

Skills

Accuracy and Attention to Detail:
Understanding the necessity and value of accuracy; ability to complete tasks with high levels of precision.

Audit and Compliance Function:
Knowledge of major responsibilities and tasks of Audit and Compliance (A&C) function; ability to manage the operation of A&C function in various business environment.

Customer Focus:
Knowledge of the values and practices that align customer needs and satisfaction as primary considerations in all business decisions and ability to leverage that information in creating customized customer solutions.

Effective Communications:
Understanding of effective communication concepts, tools and techniques; ability to effectively transmit, receive, and accurately interpret ideas, information, and needs through the application of appropriate communication behaviors.

Insurance Legal and Regulatory Environment:
Knowledge of federal, state and local laws and regulations; ability to comply with these laws and regulations in insurance industry practices and activities.

Regulatory Environment - Financial Services:
Knowledge of regulatory environment; ability to help an organization comply with regulations at the federal, state and local level and follow the organization-specific policies and guidelines, affecting business practices.

Securities Laws and Regulations (SLR) Compliance:
Knowledge of securities laws and regulations; ability to find out and comply with relevant laws and regulations during business activities.

About Equitable

At Equitable, we're a team committed to helping our clients secure their financial well-being so that they can pursue long and fulfilling lives.

We turn challenges into opportunities by thinking, working, and leading differently - where everyone is a leader. We encourage every employee to leverage their unique talents to become a force for good at…
Position Requirements
10+ Years work experience
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