FINRA Sponsorship : provided for required FINRA licensing * Preliminary Employment Period (PEP) : comprehensive 120-day hands-on training * Virtual University : access to Equitable Advisors' Virtual ...
FINRA Sponsorship : provided for required FINRA licensing * Preliminary Employment Period (PEP) : comprehensive 120-day hands-on training * Virtual University : access to Equitable Advisors' Virtual ...
FINRA Sponsorship : provided for required FINRA licensing * Preliminary Employment Period (PEP) : comprehensive 120-day hands-on training * Virtual University : access to Equitable Advisors' Virtual ...
FINRA Sponsorship : provided for required FINRA licensing * Preliminary Employment Period (PEP) : comprehensive 120-day hands-on training * Virtual University : access to Equitable Advisors' Virtual ...
FINRA Sponsorship : provided for required FINRA licensing * Preliminary Employment Period (PEP) : comprehensive 120-day hands-on training * Virtual University : access to Equitable Advisors' Virtual ...
FINRA Sponsorship : provided for required FINRA licensing * Preliminary Employment Period (PEP) : comprehensive 120-day hands-on training * Virtual University : access to Equitable Advisors' Virtual ...
Qualified candidates will have a high school diploma or GED, 2+ years in banking sales, and FINRA licenses (3 of 5 in active status) with a plan to obtain the rest #J-18808-Ljbffr
New
Qualified candidates will have a high school diploma or GED, 2+ years in banking sales, and FINRA licenses (3 of 5 in active status) with a plan to obtain the rest #J-18808-Ljbffr
New
Qualified candidates will have a high school diploma or GED, 2+ years in banking sales, and FINRA licenses (3 of 5 in active status) with a plan to obtain the rest #J-18808-Ljbffr
New
Qualified candidates will have a high school diploma or GED, 2+ years in banking sales, and FINRA licenses (3 of 5 in active status) with a plan to obtain the rest #J-18808-Ljbffr
New
Investment Services Sales Assistant
Birmingham, AL · On-site
$43K - $52K/yr
Life Insurance License * Financial Industry Regulatory Authority (FINRA) registrations including the Series 6, 7, 63, 65, or 66 Skills and Competencies * Demonstrated collaboration and relationship ...
Investment Services Sales Assistant
Birmingham, AL · On-site
$43K - $52K/yr
Life Insurance License * Financial Industry Regulatory Authority (FINRA) registrations including the Series 6, 7, 63, 65, or 66 Skills and Competencies * Demonstrated collaboration and relationship ...
SIE (Securities Industry Essentials) or ability to obtain within 2 months of employment (or already FINRA licensed) * Effective communication skills - oral and written, with an emphasis on customer ...
SIE (Securities Industry Essentials) or ability to obtain within 2 months of employment (or already FINRA licensed) * Effective communication skills - oral and written, with an emphasis on customer ...
Associate - Mutual Funds
Birmingham, AL · On-site
SIE (Securities Industry Essentials) or ability to obtain within 2 months of employment (or already FINRA licensed) * Effective communication skills - oral and written, with an emphasis on customer ...
Associate - Mutual Funds
Birmingham, AL · On-site
SIE (Securities Industry Essentials) or ability to obtain within 2 months of employment (or already FINRA licensed) * Effective communication skills - oral and written, with an emphasis on customer ...
SIE (Securities Industry Essentials) or ability to obtain within 2 months of employment (or already FINRA licensed) * Effective communication skills - oral and written, with an emphasis on customer ...
SIE (Securities Industry Essentials) or ability to obtain within 2 months of employment (or already FINRA licensed) * Effective communication skills - oral and written, with an emphasis on customer ...
Senior Research Analyst
$175K - $225K/yr
FINRA licensing required. Series 7, 63, 86 & 87 * 5+ years of related investment research experience required * Proven track record of fostering corporate relationships * Strong conceptual and ...
Senior Research Analyst
$175K - $225K/yr
FINRA licensing required. Series 7, 63, 86 & 87 * 5+ years of related investment research experience required * Proven track record of fostering corporate relationships * Strong conceptual and ...
Remote Equity Trader Position
Huntsville, AL · On-site +1
About T3TG T3 Trading Group, LLC, a unit of T3 companies, is a Registered SEC Broker-Dealer and Member of FINRA/SIPC. Established in 2007 and registered in 2010, it holds licenses in 53 U.S. States ...
Remote Equity Trader Position
Huntsville, AL · On-site +1
About T3TG T3 Trading Group, LLC, a unit of T3 companies, is a Registered SEC Broker-Dealer and Member of FINRA/SIPC. Established in 2007 and registered in 2010, it holds licenses in 53 U.S. States ...
About T3TG T3 Trading Group, LLC, a unit of T3 companies, is a Registered SEC Broker-Dealer and Member of FINRA/SIPC. Established in 2007 and registered in 2010, it holds licenses in 53 U.S. States ...
About T3TG T3 Trading Group, LLC, a unit of T3 companies, is a Registered SEC Broker-Dealer and Member of FINRA/SIPC. Established in 2007 and registered in 2010, it holds licenses in 53 U.S. States ...
Remote Equity Trader Position
Auburn, AL · On-site +1
About T3TG T3 Trading Group, LLC, a unit of T3 companies, is a Registered SEC Broker-Dealer and Member of FINRA/SIPC. Established in 2007 and registered in 2010, it holds licenses in 53 U.S. States ...
Remote Equity Trader Position
Auburn, AL · On-site +1
About T3TG T3 Trading Group, LLC, a unit of T3 companies, is a Registered SEC Broker-Dealer and Member of FINRA/SIPC. Established in 2007 and registered in 2010, it holds licenses in 53 U.S. States ...
Remote Equity Trader Position
Tuscaloosa, AL · On-site +1
About T3TG T3 Trading Group, LLC, a unit of T3 companies, is a Registered SEC Broker-Dealer and Member of FINRA/SIPC. Established in 2007 and registered in 2010, it holds licenses in 53 U.S. States ...
Remote Equity Trader Position
Tuscaloosa, AL · On-site +1
About T3TG T3 Trading Group, LLC, a unit of T3 companies, is a Registered SEC Broker-Dealer and Member of FINRA/SIPC. Established in 2007 and registered in 2010, it holds licenses in 53 U.S. States ...
Additional licenses or designations may be required as needed. Education Bachelor's: Accounting ... FINRA), s7 - General Securities Representative Examination - Financial Industry Regulatory ...
Additional licenses or designations may be required as needed. Education Bachelor's: Accounting ... FINRA), s7 - General Securities Representative Examination - Financial Industry Regulatory ...
Additional licenses or designations may be required as needed. Education Bachelor's: Accounting ... FINRA), s7 - General Securities Representative Examination - Financial Industry Regulatory ...
Additional licenses or designations may be required as needed. Education Bachelor's: Accounting ... FINRA), s7 - General Securities Representative Examination - Financial Industry Regulatory ...
Preferred Banker - Huntsville, AL
Huntsville, AL · On-site
$19 - $23.25/hr
FINRA Licenses (required): Candidate must have 3 of the following 5 licenses in an active status: Series 6 or 7; Series 63 or 66; State Life and Health Insurance License; SIE - Securities Industry ...
Preferred Banker - Huntsville, AL
Huntsville, AL · On-site
$19 - $23.25/hr
FINRA Licenses (required): Candidate must have 3 of the following 5 licenses in an active status: Series 6 or 7; Series 63 or 66; State Life and Health Insurance License; SIE - Securities Industry ...
Preferred Banker - Huntsville, AL
Huntsville, AL · On-site
$17.75 - $22.25/hr
FINRA Licenses (required): Candidate must have 3 of the following 5 licenses in an active status: Series 6 or 7; Series 63 or 66; State Life and Health Insurance License; SIE - Securities Industry ...
Preferred Banker - Huntsville, AL
Huntsville, AL · On-site
$17.75 - $22.25/hr
FINRA Licenses (required): Candidate must have 3 of the following 5 licenses in an active status: Series 6 or 7; Series 63 or 66; State Life and Health Insurance License; SIE - Securities Industry ...
Preferred Banker - Huntsville, AL
Huntsville, AL · On-site
$17.75 - $22.25/hr
FINRA Licenses (required): Candidate must have 3 of the following 5 licenses in an active status: Series 6 or 7; Series 63 or 66; State Life and Health Insurance License; SIE - Securities Industry ...
Preferred Banker - Huntsville, AL
Huntsville, AL · On-site
$17.75 - $22.25/hr
FINRA Licenses (required): Candidate must have 3 of the following 5 licenses in an active status: Series 6 or 7; Series 63 or 66; State Life and Health Insurance License; SIE - Securities Industry ...
Preferred Banker - Huntsville, AL
$17.75 - $22.25/hr
FINRA Licenses (required): Candidate must have 3 of the following 5 licenses in an active status: Series 6 or 7; Series 63 or 66; State Life and Health Insurance License; SIE - Securities Industry ...
Preferred Banker - Huntsville, AL
$17.75 - $22.25/hr
FINRA Licenses (required): Candidate must have 3 of the following 5 licenses in an active status: Series 6 or 7; Series 63 or 66; State Life and Health Insurance License; SIE - Securities Industry ...
Finra License information
Is working for FINRA a good career?
What are the key skills and qualifications needed to thrive in a FINRA-licensed financial professional role, and why are they important?
What can you do with a FINRA license?
What is the difference between Finra License vs Stock Broker?
| Aspect | Finra License | Stock Broker |
|---|---|---|
| Required Credentials | Finra licenses (e.g., Series 7, Series 63) | Series 7 license, registration with Finra |
| Work Environment | Financial firms, compliance roles | Brokerage firms, client-facing sales |
| Employer & Industry Usage | Financial regulatory bodies, firms | Brokerage firms, investment companies |
| Common Search & Comparison | Yes | Yes |
The Finra License refers to the certifications required to work in various financial roles, including being a stock broker. A stock broker is a professional who holds these licenses and actively sells securities to clients. While the Finra License is a credential, the stock broker is a role that requires holding specific licenses like Series 7. Essentially, the Finra License enables someone to become a stock broker, making them closely related in the financial industry.
What are some common challenges candidates face when preparing for FINRA licensing exams, and how can they overcome them?
What is a FINRA license?

Full-time
Medical, Dental, Vision, Life, Retirement
Re-posted 4 days ago
Equitable rating
8.2
Based on 22 frontline employees who took The Breakroom Quiz
Job description
Equitable Advisors is dedicated to making a positive impact in the lives of its clients. Our network of over 4,300 financial professionals across the U.S. is committed to fostering relationships that help people achieve meaningful financial wellness. In total, Equitable Advisors serves 2.4 million clients nationwide. Our mission is simple: to make a difference in the lives of others. If you are passionate about helping individuals and families reach their financial goals, Equitable Advisors offers a structured path to becoming a wealth manager through licensing and employment.
Role Highlights
- Client Engagement: Build and nurture client relationships through networking events and portfolio management, ensure consistent communication and progress tracking
- Financial Strategy Development: Understand clients' financial objectives and risk tolerance to devise personalized strategies, offering clear recommendations and guidance
- Product and Service Consultation: Discuss financial products and services tailored to clients' unique situations
- Location: In-office presence required
- Work-Life Balance: Flexible schedule to maximize productivity and personal time
Skills & Experience
- Education: Bachelor's degree or equivalent skills and work experience
- Licensing: State Life & Health, SIE, Series 7, Series 66
- Personal Attributes: values-driven with a track record of success and accomplishment
- Communication Skills: excellent interpersonal and communication abilities with strong self-confidence
- Mindset: entrepreneurial spirit with a desire to positively impact others' lives
- Collaboration: ability to work with and learn from top performers
- Work Authorization: must be authorized to work in the United States
Training & Development
- FINRA Sponsorship: provided for required FINRA licensing
- Preliminary Employment Period (PEP): comprehensive 120-day hands-on training
- Virtual University: access to Equitable Advisors' Virtual University for continuous learning
- Mentorship: opportunities for joint work and mentorship
- Personalized Coaching: Benefit from the training and guidance of a local Vice President who will assist you throughout your journey, offering valuable insights and support to help you succeed
- Leadership Development: access to Leadership Development School for those with management ambition
- Professional Growth: encouragement to pursue professional designations such as CERTIFIED FINANCIAL PLANNER™ (CFP®), Chartered Financial Consultant (ChFC) and Equitable Advisors’ own Credentialed Holistic Financial Coach program
Compensation & Benefits
- Sign-On Payment: Based on the time it takes you to complete the company sponsored required FINRA licenses and registrations and enter PEP
- Stable Pay: Biweekly pay for eligible financial professionals, empowering you to establish your career in wealth management
- Commissions and Bonus: In addition to Stable Pay, financial professionals are eligible to earn commissions and bonus.
- Benefits: Comprehensive benefits programs for eligible financial professionals including health, dental and vision, 401(k); Employee Stock Purchase Plan (ESPP); disability; life Insurance; and Transportation Reimbursement Incentive Program (TRIP), each subject to the terms and conditions of the applicable program, as may be in effect from time to time.
Our Impact & Culture
Equitable Advisors is committed to making a difference in the lives of its people and their communities. We value diversity and inclusivity, offer wellness programs and employee resource groups. Our commitment to being a Force for Good is reflected in programs like "1,000 Hours of Giving Back," sponsored by our Women’s Network, and “Equitable Excellence,” which awards 200 college scholarships annually. Join us to be part of a workplace culture dedicated to social impact and community engagement.
Equitable Advisors, LLC, member FINRA, SIPC, (Equitable Financial Advisors in MI and TN) and affiliate, Equitable Network, LLC, (Equitable Network Insurance Agency of California, LLC; Equitable Network Insurance Agency of Utah, LLC; Equitable Network of Puerto Rico, Inc.) Equitable Advisors, LLC (Equitable Financial Advisors in MI & TN) is an equal opportunity employer. M/F/D/V. GE-7814315.1(4/25)(Exp.4/29)
What Equitable employees say
Pay
Benefits
Hours and flexibility
Workplace
Get the full story on Breakroom
About Equitable
Sourced by ZipRecruiter
At Equitable, we're a team of over ten thousand strong; 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 Equitable and in their local communities. We are continuously investing in our people by offering growth, internal mobility, comprehensive compensation and benefits to support overall well-being, flexibility, and a culture of collaboration and teamwork. We are looking for talented, dedicated, purposeful people who want to make an impact. Join Equitable and pursue a career with purpose.
Industry
Finance and insurance
Company size
5,001 - 10,000 Employees
Headquarters location
New York, NY, US
Year founded
1859