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Finra Jobs in Arkansas (NOW HIRING)

Financial Advisor

Bentonville, AR · On-site

$100K - $250K/yr

Active FINRA Series 7 and Series 66 (or Series 6 and 63/65) registrations. * Active State Life & Health Insurance License. * 3+ years of experience as a producing Financial Advisor with a clean ...

Series 7 Tutor

Fayetteville, AR · Remote

$30 - $40/hr

Adapts instruction using FINRA practice examinations, flashcard-based formula review, and case study analysis to support financial services professionals preparing for securities registration ...

Series 7 Tutor

Bentonville, AR · Remote

$30 - $40/hr

Adapts instruction using FINRA practice examinations, flashcard-based formula review, and case study analysis to support financial services professionals preparing for securities registration ...

Series 7 Tutor

Fort Smith, AR · Remote

$30 - $40/hr

Adapts instruction using FINRA practice examinations, flashcard-based formula review, and case study analysis to support financial services professionals preparing for securities registration ...

Series 7 Tutor

Conway, AR · Remote

$30 - $40/hr

Adapts instruction using FINRA practice examinations, flashcard-based formula review, and case study analysis to support financial services professionals preparing for securities registration ...

Managing Director

Cabot, AR · On-site

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

FINRA Series 6/7 and 63/66 licenses preferred (sponsorship and support available if not currently held) * Demonstrated success in client development, planning, and relationship management

Managing Director

Ozark, AR · On-site

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

FINRA Series 6/7 and 63/66 licenses preferred (sponsorship and support available if not currently held) * Demonstrated success in client development, planning, and relationship management

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Finra information

See Arkansas salary details

$6

$18

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How much do finra jobs pay per hour?

As of Aug 16, 2026, the average hourly pay for finra in Arkansas is $18.47, according to ZipRecruiter salary data. Most workers in this role earn between $13.70 and $19.28 per hour, depending on experience, location, and employer.

What are some common challenges faced by professionals working at FINRA, and how are they typically addressed?

Professionals at FINRA often encounter the challenge of keeping up with rapidly evolving financial regulations and market practices. Adapting to frequent regulatory changes requires continuous learning and collaboration across compliance, legal, and technology teams. To address these challenges, FINRA provides ongoing training, access to robust knowledge resources, and encourages a culture of teamwork and open communication. Employees also participate in cross-departmental projects, which helps them stay informed and build expertise in multiple aspects of financial regulation.

What skills are needed for Finra jobs?

Finra jobs typically require strong knowledge of securities regulations, financial markets, and compliance procedures. Skills in analytical thinking, attention to detail, communication, and proficiency with industry-specific tools or software are also important. Relevant certifications such as Series 7 or Series 63 may be preferred depending on the role.

What is the difference between Finra vs Securities Analyst?

AspectFinraSecurities Analyst
Required CredentialsFINRA licenses (e.g., Series 7, Series 63)Bachelor's degree, often Series 7 license
Work EnvironmentRegulatory body overseeing broker-dealersFinancial firms, investment banks, asset management
Employer & Industry UsageRegulates and enforces rules for securities firmsAnalyzes securities, provides investment recommendations
Common Search & ComparisonOften compared in regulatory contextCompared in investment analysis and research

Finra is a regulatory organization overseeing broker-dealers and securities firms, requiring specific licenses. Securities Analysts evaluate securities and provide investment insights, often holding similar licenses. While Finra focuses on regulation, Securities Analysts focus on market analysis. Both roles are integral to the securities industry but serve different functions.

What is FINRA?

FINRA, or the Financial Industry Regulatory Authority, is a self-regulatory organization that oversees brokerage firms and their registered representatives in the United States. Its primary role is to protect investors by ensuring that the securities industry operates fairly and honestly. FINRA writes and enforces rules for broker-dealers, conducts regulatory examinations, and provides education and tools to investors. It also administers qualification exams for securities professionals and manages a dispute resolution forum for investors and firms.

What are the key skills and qualifications needed to thrive as a FINRA compliance analyst?

To thrive as a FINRA Compliance Analyst, you need a solid understanding of securities regulations, risk assessment, and financial industry practices, usually supported by a degree in finance, accounting, or a related field. Familiarity with regulatory compliance software, data analytics tools, and FINRA Rulebook is typically required, and certifications such as the Certified Regulatory Compliance Manager (CRCM) can be valuable. Strong attention to detail, analytical thinking, and effective communication skills help professionals excel in identifying compliance issues and collaborating across departments. These competencies are crucial for ensuring regulatory adherence, minimizing risk, and maintaining the integrity of financial markets.

Is working for FINRA a good career?

Working for FINRA as a regulatory professional offers a stable career with opportunities in compliance, enforcement, and examination roles. It requires knowledge of securities laws and often involves working in a structured environment with regular hours. The organization provides benefits and career advancement within the financial industry.

What are popular job titles related to Finra jobs in Arkansas?

For Finra jobs in Arkansas, the most frequently searched job titles are:

What cities in Arkansas are hiring for Finra jobs?

Cities in Arkansas with the most Finra job openings:

Infographic showing various Finra job openings in Arkansas as of August 2026, with employment types broken down into 90% Full Time, 9% Part Time, and 1% Contract. Highlights an 74% Physical, 12% Hybrid, and 14% Remote job distribution, with an average salary of $38,423 per year, or $18.5 per hour.

Arvest Wealth Management Personal Advisor-Outbound

Arvest Bank

Jonesboro, AR • On-site

$52K - $65K/yr

Full-time

Medical, Life

Posted 2 days ago

New


Arvest Bank rating

8.7

Company rating: 8.7 out of 10

Based on 40 frontline employees who took The Breakroom Quiz

23rd of 171 rated banks


Job description

Pay is based on a number of factors including the successful candidate's job-related knowledge and skills, qualifications, and prior experience. Arvest offers a comprehensive suite of benefits, including a full range of health and life, financial, and wellness benefits. For more information about benefits, please visit www.arvest.com/careers/benefits.
Position is located at 2009 Browns Lane Jonesboro, AR 72401.
Position is Monday through Friday 8 am to 5 pm with additional hours as needed.
Summary:
Job Summary
The AWM (Arvest Wealth Management) Personal Advisor - Outbound responds to customer inquiries and develops an understanding of the customer's current and future financial goals and needs. The incumbent is accountable for referred and direct sales and service of non-FDIC-insured investment and insurance products utilizing a broad knowledge of Individual Retirement Account (IRA), brokerage, insurance, and bank products. The incumbent applies working knowledge of financial planning processes to gather and analyze financial information to provide customers with financial advice and guidance that best fit their needs. The AWM Personal Advisor - Outbound proactively contacts the existing base of household accounts and prospective AWM clients to sell financial planning services and manage relationships assigned to the Personal Advisor Team.
Responsibilities
• Proactively contact the existing base of household accounts and prospective clients to sell financial planning services. Meet outbound calling requirements of dials per day/week, appointments made and kept, number of profiles, and number of plans created.
• Build and manage an individual book of business by proactively calling prospective clients. Assess their financial needs, offer appropriate products and services, provide personalized guidance, and generate revenue.
• Manage relationships assigned to the Personal Advisor Team.
• Provide AWM financial and retirement planning services to Arvest Bank and AWM customers.
• Maintain knowledge of financial services/products to advise and guide customers regarding the sale of IRA, brokerage, insurance, and access to trust products, trust services, and bank products.
• Review and analyze prospective clients and existing customers' current financial situation to determine what appropriate financial services/products would meet their needs.
• Present prospective clients and existing customers with financial plans for their review and consideration while possessing the knowledge to explain all pertinent information related to the plan to achieve quality service and customer satisfaction.
• Assist customers with the application process for financial products according to internal policies and procedures.
• Offer advice and guidance to customers calling in with questions about their retirement plans, participate in efforts to generate business, and adequately manage client relationships.
• Cross-sell by making customer and prospect referrals to Arvest Bank for the sale of bank products and services, including trust services.
• Maintain all required regulatory (FINRA and SEC) licenses necessary to conduct AWM business.
• Understand and comply with bank policies, laws, regulations, and the bank's BSA/AML Program, as applicable to job duties. This includes, but is not limited to, completing compliance training, adhering to internal procedures and controls, reporting any known violations of compliance policies, laws, or regulations, and reporting any suspicious customer and/or account activity.
• Other duties and special projects may be assigned.
Responsibilities:
Experience
• Required: 3 years of customer service experience.
• Preferred: Proven sales experience.
• Relevant work experience may be substituted for the Associate's degree requirement.
• Relevant military experience is considered for veterans and transitioning service members.
Credentials
• Required: FINRA SIE (Securities Industry Essentials) license or the ability to obtain within 120 days of hire.
• Required: FINRA Series 7 license or the ability to obtain within 120 days of hire.
• Required: FINRA Series 63 and 65 OR Series 66 (combo exam of 63/65) license or the ability to obtain within 120 days of hire.
Required: Life & Health license or the ability to obtain within 120 days of hire.
Education
• Required: Associate degree.
• Preferred: Bachelor's degree.
Working Conditions
• Incumbents must be able to perform each essential duty satisfactorily. Reasonable accommodations may be made to enable qualified individuals with disabilities to perform the essential duties.
• Must be able to start work on time, maintain regular work attendance, be physically present at the assigned work location, and occasionally work overtime or outside of regular business hours.
• This job typically requires an individual to be able to observe details (including the ability to perceive color and the ability to identify clear near and far objects), to communicate and exchange accurate information. It may occasionally require the individual to physically move, remain in a stationary position, and position themselves to reach for objects.
• Must be able to operate standard office equipment and use office applications for communication, information and document transmission, and content, document, and report creation.
• The essential duties of this job occasionally require the associate to lift and/or move up to 25 pounds.
• Ability to travel overnight, unaccompanied, within the United States via automobile and air is required, on occasion.
• The noise level in the work environment is typically low to moderate.
Grade 14
Pay Range: $52520 - $65650 per year

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