Compliance Analyst, Finance & Banking
San Diego, San Diego County, California, 92189, USA
Listed on 2026-01-24
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Finance & Banking
Regulatory Compliance Specialist, Risk Manager/Analyst, Financial Compliance, Financial Services
Company Overview
Kingswood U.S. is a diversified financial services firm focused on delivering sophisticated wealth management, advisor support, and investment banking solutions. We serve high-net-worth individuals, families, and institutions through customized portfolio management, retirement and estate planning, tax-aware strategies, and risk management. Kingswood also provides financial advisors with robust broker-dealer and RIA infrastructure, compliance support, and access to a broad product platform. Our investment banking group offers tailored advisory services across mergers and acquisitions, capital raising, and strategic transactions.
We combine a boutique, high-touch approach with institutional capabilities and a strong regulatory culture.
Compliance Analyst (Broker-Dealer Focus)
Kingswood U.S. is seeking an experienced Compliance Analyst to join our compliance team. This is a full-time, hybrid role based in the San Diego Metropolitan Area
, with some flexibility for remote work.
This position is not entry-level
. Candidates must have direct, relevant broker-dealer compliance experience
. Applicants without meaningful BD compliance experience should not apply.
- Support the firm’s broker-dealer compliance program and ensure ongoing adherence to FINRA, SEC, and other applicable regulatory requirements
- Conduct compliance reviews, testing, and surveillance of firm activities and registered representatives
- Assist with regulatory examinations, audits, and inquiries, including preparation of responses and follow-up remediation
- Review, maintain, and enhance written supervisory procedures (WSPs), policies, and internal controls
- Identify compliance risks and recommend practical, business-aware solutions
- Coordinate with operations, supervision, legal, and senior management to ensure consistent regulatory compliance
- Communicate with regulators, internal stakeholders, and leadership in a clear, professional manner
- FINRA Series 7 license (required)
- FINRA Series 24 strongly preferred
, or a demonstrated ability and commitment to obtain the Series 24 shortly after hire - Substantial, hands-on broker-dealer compliance experience (FINRA member firm experience required)
- Strong working knowledge of FINRA rules, SEC regulations, and broker-dealer supervisory frameworks
- Proven experience supporting audits, regulatory exams, and compliance testing
- Excellent analytical skills with the ability to identify risk and apply regulatory requirements to real-world business scenarios
- Strong written and verbal communication skills, including the ability to draft policies, memos, and regulatory responses
- Bachelor’s degree in Finance, Business Administration, Compliance, or a related field
- Experience working with compliance systems, surveillance tools, and regulatory reporting platforms
- Highly detail-oriented, organized, and capable of managing multiple priorities in a fast-paced environment
- Professional judgment, discretion, and a strong compliance mindset
This role requires direct broker-dealer compliance experience and active FINRA registration
. Candidates without relevant BD compliance background or without a Series 7 license should not apply.
Kingswood U.S. offers a collaborative environment, exposure to senior leadership, and the opportunity to play a meaningful role in a growing, compliance-driven organization.
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