Strong knowledge of FINRA rules relating to registration, supervision, outside business activities, and conflicts of interest. * Experience with FINRA Gateway and related registration systems ...
Strong knowledge of FINRA rules relating to registration, supervision, outside business activities, and conflicts of interest. * Experience with FINRA Gateway and related registration systems ...
Strong knowledge of FINRA rules relating to registration, supervision, outside business activities, and conflicts of interest. * Experience with FINRA Gateway and related registration systems ...
Strong knowledge of FINRA rules relating to registration, supervision, outside business activities, and conflicts of interest. * Experience with FINRA Gateway and related registration systems ...
Senior Compliance Officer
Atlanta, GA · Hybrid
Medical
Retirement
PTO
FINRA Series 7, Securities Industry Essentials, Compliance Officer exam, or certification in a related field of practice is a plus * Uses strong prioritization, problem solving, oral and written ...
Senior Compliance Officer
Atlanta, GA · Hybrid
Medical
Retirement
PTO
FINRA Series 7, Securities Industry Essentials, Compliance Officer exam, or certification in a related field of practice is a plus * Uses strong prioritization, problem solving, oral and written ...
Senior Compliance Officer
Houston, TX · On-site
Medical
Retirement
PTO
FINRA Series 7, Securities Industry Essentials, Compliance Officer exam, or certification in a related field of practice is a plus * Uses strong prioritization, problem solving, oral and written ...
Senior Compliance Officer
Houston, TX · On-site
Medical
Retirement
PTO
FINRA Series 7, Securities Industry Essentials, Compliance Officer exam, or certification in a related field of practice is a plus * Uses strong prioritization, problem solving, oral and written ...
Senior Compliance Officer
Houston, TX · Hybrid
Medical
Retirement
PTO
FINRA Series 7, Securities Industry Essentials, Compliance Officer exam, or certification in a related field of practice is a plus * Uses strong prioritization, problem solving, oral and written ...
Senior Compliance Officer
Houston, TX · Hybrid
Medical
Retirement
PTO
FINRA Series 7, Securities Industry Essentials, Compliance Officer exam, or certification in a related field of practice is a plus * Uses strong prioritization, problem solving, oral and written ...
Chief Compliance Officer
New York, NY · On-site
Medical
Dental
Vision
Chief Compliance Officer * Team: Legal & Compliance * Location: New York, NY * Work mode: Onsite ... You'll advise the firm on applicable SEC and FINRA rules and regulations, including interpretive ...
Chief Compliance Officer
New York, NY · On-site
Medical
Dental
Vision
Chief Compliance Officer * Team: Legal & Compliance * Location: New York, NY * Work mode: Onsite ... You'll advise the firm on applicable SEC and FINRA rules and regulations, including interpretive ...
Compliance Officer (Transfer Agent/Registration)
Baltimore, MD · Hybrid
$125K - $145K/yr
Medical
Dental
Vision
Retirement
PTO
The Compliance Officer will assist the Compliance Manager with meeting certain compliance ... Compile and submit routine SEC, FINRA, MSRB and NFA regulatory filings * Assist with preparation of ...
Compliance Officer (Transfer Agent/Registration)
Baltimore, MD · Hybrid
$125K - $145K/yr
Medical
Dental
Vision
Retirement
PTO
The Compliance Officer will assist the Compliance Manager with meeting certain compliance ... Compile and submit routine SEC, FINRA, MSRB and NFA regulatory filings * Assist with preparation of ...
Broker Dealer Compliance Officer Remote
Smithtown, NY · Remote
$40 - $60/hr
Retirement
PTO
The ideal candidate will possess prior experience and hold active FINRA Series 7 & 24 licenses ... CEO, and developing regulatory compliance systems to satisfy FINRA, SEC, state and federal ...
Quick apply
Broker Dealer Compliance Officer Remote
Smithtown, NY · Remote
$40 - $60/hr
Retirement
PTO
The ideal candidate will possess prior experience and hold active FINRA Series 7 & 24 licenses ... CEO, and developing regulatory compliance systems to satisfy FINRA, SEC, state and federal ...
Broker Dealer Compliance Officer Remote
Smithtown, NY · Remote
$40 - $60/hr
Retirement
PTO
The ideal candidate will possess prior experience and hold active FINRA Series 7 & 24 licenses ... CEO, and developing regulatory compliance systems to satisfy FINRA, SEC, state and federal ...
Quick apply
Broker Dealer Compliance Officer Remote
Smithtown, NY · Remote
$40 - $60/hr
Retirement
PTO
The ideal candidate will possess prior experience and hold active FINRA Series 7 & 24 licenses ... CEO, and developing regulatory compliance systems to satisfy FINRA, SEC, state and federal ...
Compliance Officer (Transfer Agent/Registration)
Baltimore, MD · On-site
$125K - $145K/yr
Medical
Dental
Vision
Retirement
PTO
The Compliance Officer will assist the Compliance Manager with meeting certain compliance ... Compile and submit routine SEC, FINRA, MSRB and NFA regulatory filings * Assist with preparation of ...
Compliance Officer (Transfer Agent/Registration)
Baltimore, MD · On-site
$125K - $145K/yr
Medical
Dental
Vision
Retirement
PTO
The Compliance Officer will assist the Compliance Manager with meeting certain compliance ... Compile and submit routine SEC, FINRA, MSRB and NFA regulatory filings * Assist with preparation of ...
Chief Compliance Officer
Tukwila, WA · On-site
$150K - $220K/yr
Chief Compliance Officer Location:Tukwila, WA, 98188 What you will be doing: * Provide leadership ... Manage the Firm's FINRA Gateway filings, including Form BD, U4s, U5s, and state registrations.
Quick apply
Chief Compliance Officer
Tukwila, WA · On-site
$150K - $220K/yr
Chief Compliance Officer Location:Tukwila, WA, 98188 What you will be doing: * Provide leadership ... Manage the Firm's FINRA Gateway filings, including Form BD, U4s, U5s, and state registrations.
Broker Dealer Compliance Officer Remote
Smithtown, NY · Remote
$40 - $60/hr
Dental
Vision
Retirement
PTO
The ideal candidate will possess prior experience and hold active FINRA Series 7 & 24 licenses ... CEO, and developing regulatory compliance systems to satisfy FINRA, SEC, state and federal ...
Quick apply
Broker Dealer Compliance Officer Remote
Smithtown, NY · Remote
$40 - $60/hr
Dental
Vision
Retirement
PTO
The ideal candidate will possess prior experience and hold active FINRA Series 7 & 24 licenses ... CEO, and developing regulatory compliance systems to satisfy FINRA, SEC, state and federal ...
Compliance Officer
New York, NY · On-site
$175K - $200K/yr
Medical
Life
Retirement
The Compliance Officer will be a key team player in managing, executing, and enhancing the firm ... including SEC, FINRA and other relevant guidelines * Utilize deep understanding of the SEC ...
Compliance Officer
New York, NY · On-site
$175K - $200K/yr
Medical
Life
Retirement
The Compliance Officer will be a key team player in managing, executing, and enhancing the firm ... including SEC, FINRA and other relevant guidelines * Utilize deep understanding of the SEC ...
Compliance Officer
New York, NY · On-site
$175K - $200K/yr
Medical
Life
Retirement
The Compliance Officer will be a key team player in managing, executing, and enhancing the firm ... including SEC, FINRA and other relevant guidelines * Utilize deep understanding of the SEC ...
Compliance Officer
New York, NY · On-site
$175K - $200K/yr
Medical
Life
Retirement
The Compliance Officer will be a key team player in managing, executing, and enhancing the firm ... including SEC, FINRA and other relevant guidelines * Utilize deep understanding of the SEC ...
AML Compliance Officer
Chicago, IL · On-site
$120K - $180K/yr
Medical
Dental
Vision
Retirement
PTO
Compliance Reports To: Chief Compliance Officer, Tastytrade Employment Type: Full-Time Salary ... FINRA, SEC, CFTC, and NFA) and industry best practices. * Conduct regular AML risk assessments to ...
AML Compliance Officer
Chicago, IL · On-site
$120K - $180K/yr
Medical
Dental
Vision
Retirement
PTO
Compliance Reports To: Chief Compliance Officer, Tastytrade Employment Type: Full-Time Salary ... FINRA, SEC, CFTC, and NFA) and industry best practices. * Conduct regular AML risk assessments to ...
AML Compliance Officer
Chicago, IL · On-site
$120K - $180K/yr
Medical
Dental
Vision
Retirement
PTO
Compliance Reports To: Chief Compliance Officer, Tastytrade Employment Type: Full-Time Salary ... FINRA, SEC, CFTC, and NFA) and industry best practices. * Conduct regular AML risk assessments to ...
AML Compliance Officer
Chicago, IL · On-site
$120K - $180K/yr
Medical
Dental
Vision
Retirement
PTO
Compliance Reports To: Chief Compliance Officer, Tastytrade Employment Type: Full-Time Salary ... FINRA, SEC, CFTC, and NFA) and industry best practices. * Conduct regular AML risk assessments to ...
Compliance Officer
Washington, DC · On-site +1
$73K - $110K/yr
Medical
Retirement
FINRA Series 7 and Series 24 * Series 63/65/66 depending on product set * Strong working knowledge of securities laws, SRO rules, and compliance requirements * Ability to interpret and apply ...
Compliance Officer
Washington, DC · On-site +1
$73K - $110K/yr
Medical
Retirement
FINRA Series 7 and Series 24 * Series 63/65/66 depending on product set * Strong working knowledge of securities laws, SRO rules, and compliance requirements * Ability to interpret and apply ...
Deputy Chief Compliance Officer
Birmingham, AL · On-site
$150K - $175K/yr
Responsibilities The Deputy Chief Compliance Officer reports directly to the Chief Compliance ... FINRA Series 7 and Series 24, Series 65 or 66 required; * Minimum of 5 years of compliance or ...
Deputy Chief Compliance Officer
Birmingham, AL · On-site
$150K - $175K/yr
Responsibilities The Deputy Chief Compliance Officer reports directly to the Chief Compliance ... FINRA Series 7 and Series 24, Series 65 or 66 required; * Minimum of 5 years of compliance or ...
Deputy Chief Compliance Officer
Miami, FL · On-site
$120K - $170K/yr
Responsibilities The Deputy Chief Compliance Officer reports directly to the Chief Compliance ... FINRA Series 7 and Series 24, Series 65 or 66 required; * Minimum of 5 years of compliance or ...
Deputy Chief Compliance Officer
Miami, FL · On-site
$120K - $170K/yr
Responsibilities The Deputy Chief Compliance Officer reports directly to the Chief Compliance ... FINRA Series 7 and Series 24, Series 65 or 66 required; * Minimum of 5 years of compliance or ...
Deputy Chief Compliance Officer
$120K - $170K/yr
Responsibilities The Deputy Chief Compliance Officer reports directly to the Chief Compliance ... FINRA Series 7 and Series 24, Series 65 or 66 required; * Minimum of 5 years of compliance or ...
Deputy Chief Compliance Officer
$120K - $170K/yr
Responsibilities The Deputy Chief Compliance Officer reports directly to the Chief Compliance ... FINRA Series 7 and Series 24, Series 65 or 66 required; * Minimum of 5 years of compliance or ...
Finra Compliance Officer information
See salary details
$31.5K - $47.5K
10% of jobs
$60.4K is the 25th percentile. Wages below this are outliers.
$47.5K - $63.5K
19% of jobs
$63.5K - $79.5K
19% of jobs
The median wage is $81.5K / yr.
$79.5K - $95.5K
17% of jobs
$106.4K is the 75th percentile. Wages above this are outliers.
$95.5K - $111.5K
15% of jobs
$111.5K - $127.5K
6% of jobs
$127.5K - $143.5K
5% of jobs
$143.5K - $159.5K
3% of jobs
$159.5K - $175.5K
2% of jobs
$175.5K - $191.5K
2% of jobs
$191.5K - $207.5K
1% of jobs
$31.5K
$98.9K
$207.5K
How much do finra compliance officer jobs pay per year?
What is a Finra Compliance Officer?
A FINRA Compliance Officer is responsible for ensuring that a financial firm complies with the regulations set by the Financial Industry Regulatory Authority (FINRA). They develop, implement, and oversee compliance programs, monitor trading activities, and conduct audits to prevent regulatory violations. Additionally, they provide training to employees and serve as a liaison between the firm and regulatory bodies. Their role is crucial in maintaining ethical standards and avoiding legal issues that could impact the firm’s reputation and operations.
What are the key skills and qualifications needed to thrive as a Finra Compliance Officer?
A Finra Compliance Officer needs comprehensive knowledge of FINRA regulations, securities laws, and internal compliance procedures, often backed by a relevant bachelor's degree and industry certifications such as the Series 7 or Series 24 licenses. Familiarity with compliance monitoring tools, regulatory filing systems, and documentation software is typically required. Strong analytical thinking, attention to detail, and clear communication skills distinguish top performers in this role. These capabilities are crucial to ensuring an organization operates within regulatory guidelines, thereby minimizing legal risks and maintaining trust with clients and governing bodies.
What are some of the main challenges faced by a Finra Compliance Officer in a finance firm?
Finra Compliance Officers often face the challenge of keeping up with frequent changes in regulatory requirements and ensuring that all organizational practices are updated promptly. They must balance rigorous oversight with supporting business goals, sometimes navigating complex or ambiguous rules. Working closely with legal teams, traders, and operations, they often act as a bridge between regulators and internal departments. Successful officers are proactive problem-solvers who stay current on industry changes and foster a culture of compliance throughout their organization.
What cities are hiring for Finra Compliance Officer jobs?
Cities with the most Finra Compliance Officer job openings:
What are the most commonly searched types of Finra Compliance Officer jobs?
The most popular types of Finra Compliance Officer jobs are:
What states have the most Finra Compliance Officer jobs?
States with the most job openings for Finra Compliance Officer jobs include:
What job categories do people searching Finra Compliance Officer jobs look for?
The top searched job categories for Finra Compliance Officer jobs are:
- Broker Dealer Compliance
- Temporary Broker Dealer Compliance
- Night Shift Broker Dealer Compliance
- Senior Broker Dealer Compliance
- Remote Construction Compliance Officer
- Remote Compliance Broker Dealer
- Remote Pharmacy Compliance Officer
- Senior Sanctions Compliance
- Oversight Consumer Compliance
- Aml Officer Salary

Full-time
Re-posted 22 days ago
Job description
Since 1971, our people have shaped our organization through a high-performance inclusive culture, in which we celebrate diverse thinking. We invest in our people and strive to imprint our CORE values of Collaboration, Openness, Responsibility and Excellence. We believe each of us is here to help others succeed and this has led to PIMCO being recognized as an innovator, industry thought leader and trusted advisor to our clients.
Position Description
PIMCO is a global leader in active fixed income with deep expertise across public and private markets. Managing investments for institutions, financial advisors, and millions of individuals worldwide, PIMCO offers a broad range of solutions across fixed income, alternatives, multi-asset, and private strategies.
As PIMCO continues to grow its investment advisory and distribution activities, we are seeking a Compliance Officer to join our Legal & Compliance Department and support the broker-dealer compliance program of PIMCO Investments LLC ("PI"), a FINRA-registered broker-dealer and member firm.
This is an excellent opportunity for an experienced compliance professional to take ownership of the firm's Licensing & Registration function while gaining broader exposure to broker-dealer compliance, conflicts management, surveillance activities, regulatory matters, and strategic compliance initiatives. The successful candidate will partner closely with Compliance, Legal, HR, Marketing, and business stakeholders across the organization.
Key Responsibilities
Licensing & Registration
- Serve as the primary subject matter expert for Licensing & Registration, overseeing Form U4 and U5 filings, registration maintenance, and related regulatory requirements.
- Manage onboarding, transfers, and offboarding processes for registered representatives, partnering closely with HR and business stakeholders.
- Administer Outside Business Activity (OBA) disclosures and other registration-related compliance obligations.
- Oversee the firm's NFA registration program and recurring licensing, registration, and regulatory filing requirements.
- Support the firm's broker-dealer compliance program and promote adherence to applicable FINRA and regulatory requirements.
- Administer conflicts of interest controls, including Gifts & Entertainment monitoring and event-related compliance reviews.
- Support electronic surveillance and supervisory monitoring activities, including review and escalation of potential compliance issues.
- Assist in responding to regulatory examinations, audits, annual reviews, and regulatory inquiries.
- Partner with Compliance colleagues globally to strengthen policies, procedures, controls, and operational effectiveness.
- Leverage technology, workflow automation, data analytics, and AI-enabled tools to enhance compliance monitoring and reporting processes.
- Lead or support strategic compliance initiatives and process improvement projects across the broker-dealer compliance program.
- Maintain expertise in assigned subject matter areas and proactively identify emerging regulatory developments, risks, and improvement opportunities.
Required
- Bachelor's degree required; J.D. preferred.
- Minimum 5 years of compliance experience within a FINRA-registered broker-dealer, investment management firm, or similar regulated financial services environment.
- Direct experience supporting licensing and registration functions.
- Strong knowledge of FINRA rules relating to registration, supervision, outside business activities, and conflicts of interest.
- Experience with FINRA Gateway and related registration systems; familiarity with NFA registration requirements is a plus.
- Excellent analytical, organizational, and problem-solving skills with exceptional attention to detail.
- Strong written and verbal communication skills and the ability to build effective relationships across all levels of the organization.
- Ability to manage competing priorities and thrive in a fast-paced environment.
- Candidates must hold, or be willing to obtain within a reasonable period following hire, the FINRA Series 7 and Series 24 registrations.
- Asset management experience supporting institutional and intermediary distribution businesses.
- Experience supporting registered funds, ETFs, separate accounts, and private fund products.
- Experience with surveillance platforms, compliance technology, and workflow automation tools.
- Experience supporting regulatory examinations, audits, and compliance reviews.
Salary Range: $ 108,000.00 - $ 135,000.00
Equal Employment Opportunity and Affirmative Action Statement
PIMCO recruits and hires qualified candidates without regard to race, national origin, ancestry, religion (including religious dress and grooming practices), sex (including pregnancy, childbirth, breastfeeding, or related medical conditions), sexual orientation, gender (including gender identity and expression), age, military or veteran status, disability (physical or mental), any factor prohibited by law, and as such affirms in policy and practice to support and promote the concept of equal employment opportunity and affirmative action, in accordance with all applicable federal, state, provincial and municipal laws. The company also prohibits discrimination on other basis such as medical condition, or marital status under applicable laws.
Applicants with Disabilities
PIMCO is an Equal Employment Opportunity/Affirmative Action employer. We provide reasonable accommodation for qualified individuals with disabilities, including veterans, in job application procedures. If you have any difficulty using our online system due to a disability and you would like to request an accommodation, you may contact us at 949-720-7744 and leave a message. This is a dedicated line designed exclusively to assist job seekers with disabilities to apply online. Only messages left for this purpose will be considered. A response to your request may take up to two business days.
About PIMCO
Sourced by ZipRecruiter
Industry
Finance and insurance
Company size
1,001 - 5,000 Employees
Headquarters location
Newport Beach, CA, US
Year founded
1971