As a FINRA Supervisory Specialist within PNC's Wealth Management organization, you will be based within the PNC footprint at a major hub location. PNC is an in-office company that fosters a ...
As a FINRA Supervisory Specialist within PNC's Wealth Management organization, you will be based within the PNC footprint at a major hub location. PNC is an in-office company that fosters a ...
Market Supervision Manager - Fort Lauderdale, FL
Fort Lauderdale, FL · On-site
$91K - $136K/yr
FINRA designated Supervisor (via Delegation from WML) for Registered/Associated Persons in supported Market(s) * Strategically partners with WML(s) to lead and develop supported Market(s) * Leads and ...
Market Supervision Manager - Fort Lauderdale, FL
Fort Lauderdale, FL · On-site
$91K - $136K/yr
FINRA designated Supervisor (via Delegation from WML) for Registered/Associated Persons in supported Market(s) * Strategically partners with WML(s) to lead and develop supported Market(s) * Leads and ...
Market Supervision Manager - Vienna, VA
Fort Lauderdale, FL · On-site
$91K - $145K/yr
FINRA designated Supervisor (via Delegation from WML) for Registered/Associated Persons in supported Market(s) * Strategically partners with WML(s) to lead and develop supported Market(s) * Leads and ...
Market Supervision Manager - Vienna, VA
Fort Lauderdale, FL · On-site
$91K - $145K/yr
FINRA designated Supervisor (via Delegation from WML) for Registered/Associated Persons in supported Market(s) * Strategically partners with WML(s) to lead and develop supported Market(s) * Leads and ...
Market Supervision Manager - Fort Lauderdale, FL
Fort Lauderdale, FL · On-site
$91K - $136K/yr
FINRA designated Supervisor (via Delegation from WML) for Registered/Associated Persons in supported Market(s) * Strategically partners with WML(s) to lead and develop supported Market(s) * Leads and ...
Market Supervision Manager - Fort Lauderdale, FL
Fort Lauderdale, FL · On-site
$91K - $136K/yr
FINRA designated Supervisor (via Delegation from WML) for Registered/Associated Persons in supported Market(s) * Strategically partners with WML(s) to lead and develop supported Market(s) * Leads and ...
Managing Director, Broker-Dealer Supervision
Fort Lauderdale, FL · On-site +1
$174K - $196K/yr
The role is distinct from the compliance function and focuses on day-to-day operational supervision ? ensuring the firm meets its FINRA Rule 3110 obligations and that supervisory controls are ...
Managing Director, Broker-Dealer Supervision
Fort Lauderdale, FL · On-site +1
$174K - $196K/yr
The role is distinct from the compliance function and focuses on day-to-day operational supervision ? ensuring the firm meets its FINRA Rule 3110 obligations and that supervisory controls are ...
FINRA Series 7 & 66 licensed and hold appropriate state registrations, OR ability to acquire Series 66 upon hire * Minimum 2 years of financial services or relevant experience * Attainment of CFP ® ...
FINRA Series 7 & 66 licensed and hold appropriate state registrations, OR ability to acquire Series 66 upon hire * Minimum 2 years of financial services or relevant experience * Attainment of CFP ® ...
FINRA Series 7 & 66 licensed and hold appropriate state registrations, OR ability to acquire Series 66 upon hire * Minimum 2 years of financial services or relevant experience * Attainment of CFP ...
FINRA Series 7 & 66 licensed and hold appropriate state registrations, OR ability to acquire Series 66 upon hire * Minimum 2 years of financial services or relevant experience * Attainment of CFP ...
Our team has successfully represented firms and individuals in FINRA arbitrations, AAA (and other) arbitrations, state and federal courts, and regulatory examinations and proceedings.
Our team has successfully represented firms and individuals in FINRA arbitrations, AAA (and other) arbitrations, state and federal courts, and regulatory examinations and proceedings.
Our team has successfully represented firms and individuals in FINRA arbitrations, AAA (and other) arbitrations, state and federal courts, and regulatory examinations and proceedings.
Our team has successfully represented firms and individuals in FINRA arbitrations, AAA (and other) arbitrations, state and federal courts, and regulatory examinations and proceedings.
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 ...
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 ...
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 ...
T3 Trading Group, LLC ( www.t3trading.com ) is a Registered SEC Broker-Dealer & Member of FINRA/SIPC. We are recruiting hardworking, entrepreneurial entry level-traders for remote positions in our ...
T3 Trading Group, LLC ( www.t3trading.com ) is a Registered SEC Broker-Dealer & Member of FINRA/SIPC. We are recruiting hardworking, entrepreneurial entry level-traders for remote positions in our ...
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 information
See Miami, FL salary details
$7.58 - $11.04
2% of jobs
$11.04 - $14.50
8% of jobs
$16.21 is the 25th percentile. Wages below this are outliers.
$14.50 - $17.97
31% of jobs
The median wage is $18.81 / hr.
$17.97 - $21.43
38% of jobs
$21.43 - $24.90
16% of jobs
$24.90 - $28.36
1% of jobs
$28.36 - $31.82
1% of jobs
$31.82 - $35.29
3% of jobs
$35.29 - $38.75
0% of jobs
$38.75 - $42.22
0% of jobs
$42.22 - $45.68
0% of jobs
$7
$21
$45
How much do finra jobs pay per hour?
What is FINRA?
What are the key skills and qualifications needed to thrive as a FINRA compliance analyst?
What are some common challenges faced by professionals working at FINRA, and how are they typically addressed?
What is the difference between Finra vs Securities Analyst?
| Aspect | Finra | Securities Analyst |
|---|---|---|
| Required Credentials | FINRA licenses (e.g., Series 7, Series 63) | Bachelor's degree, often Series 7 license |
| Work Environment | Regulatory body overseeing broker-dealers | Financial firms, investment banks, asset management |
| Employer & Industry Usage | Regulates and enforces rules for securities firms | Analyzes securities, provides investment recommendations |
| Common Search & Comparison | Often compared in regulatory context | Compared 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.
Is working for FINRA a good career?
What skills are needed for Finra jobs?
What are popular job titles related to Finra jobs in Miami, FL?
For Finra jobs in Miami, FL, the most frequently searched job titles are:
What job categories do people searching Finra jobs in Miami, FL look for?
The top searched job categories for Finra jobs in Miami, FL are:
What cities near Miami, FL are hiring for Finra jobs?
Cities near Miami, FL with the most Finra job openings:

$45K - $142K/yr
Full-time
Medical, Dental, Vision, Life, Retirement, PTO
Re-posted 18 days ago
PNC Bank rating
7.8
Based on 347 frontline employees who took The Breakroom Quiz
89th of 174 rated banks
Job description
Responsible for the supervision and trade review of Financial Advisors (FA) and registered branches in assigned regions to ensure compliance with securities and insurance industry rules and reg and firm policy.Review surveillance alerts and reports assigned to them on a regional or centralized level to identify patterns, trends and/or concerns in regards to FAs' sales practice activity.Review trades and/or new accounts; diagnose, raise and process escalations, as well as other items requiring principal review and approval at the regional level. Conduct proactive training, coaching and mentoring of registered reps (RR), complete trend analysis, and engage in complaint resolution and branch/hub audits. Work closely with Operations, Regional Supervision, Financial Advisors, Sales Management and support staff, Compliance, Legal and Risk partners to assist with escalations, legal matters, complaints, new account approvals and daily trade review.
- Collaborates with various business partners including Legal, Risk, Compliance, Product and external partners, etc. to resolve complex matters.
- Monitors advisor and client activity, such as trade review and approval patterns and trends, complaint resolution, communications, and new accounts to ensure compliance with firm and regulatory requirements and minimize risk.
- Manages risk and makes sound decisions by providing coaching and guidance to Financial Advisors on policies and procedures, industry regulations, financial service products, investment practices, and documentation to promote risk awareness and a compliant environment.
- Supports the Firm's business objectives and contributes to the Firm's profitability by influencing Financial Advisors (FA) business practices in ways that minimize regulatory and financial risk as well as uphold the Firms' reputation.
- Uses critical thinking and decision-making skills to assist in the review of supervisory responsibilities by following proper procedures in adherence to applicable regulatory rules and compliance policies in a timely and appropriate manner.
- Responsible for requesting proactive client contact when needed in determining suitability of escalated business and managing risk.
PNC Employees take pride in our reputation and to continue building upon that we expect our employees to be:
- Customer Focused - Knowledgeable of the values and practices that align customer needs and satisfaction as primary considerations in all business decisions and able to leverage that information in creating customized customer solutions.
- Managing Risk - Assessing and effectively managing all of the risks associated with their business objectives and activities to ensure they adhere to and support PNC's Enterprise Risk Management Framework.
Successful candidates must demonstrate appropriate knowledge, skills, and abilities for a role. Listed below are skills, competencies, work experience, education, and required certifications/licensures needed to be successful in this position.
CompetenciesAccuracy and Attention to Detail, Data Gathering and Reporting, Decision Making and Critical Thinking, Effective Communications, Flexibility and Adaptability, Industry Knowledge, Managing Multiple Priorities, Products and Services, Regulatory Environment - Financial Services, Risk Management, Understanding Customer NeedsWork ExperienceRoles at this level typically require a university / college degree, with 2+ years of relevant professional experience. In lieu of a degree, a comparable combination of education, job specific certification(s), and experience (including military service) may be considered.EducationBachelorsCertificationsNo Required Certification(s)LicensesSeries 7, 24 (or 9/10), 66 (or 63 and 65), (4 and 53 preferred if only 24)Language AssessmentsNo Required or Preferred Language AssessmentsPay TransparencyBase Salary: $45,000.00 - $142,350.00Salaries may vary based on geographic location, market data and on individual skills, experience, and education. This role is incentive eligible with the payment based upon company, business and/or individual performance.Application WindowGenerally, this opening is expected to be posted for two business days from 05/15/2026, although it may be longer with business discretion.BenefitsPNC offers a comprehensive range of benefits to help meet your needs now and in the future. Depending on your eligibility, options for full-time employees include: medical/prescription drug coverage (with a Health Savings Account feature), dental and vision options; employee and spouse/child life insurance; short and long-term disability protection; 401(k) with PNC match, pension and stock purchase plans; dependent care reimbursement account; back-up child/elder care; adoption, surrogacy, and doula reimbursement; educational assistance, including select programs fully paid; a robust wellness program with financial incentives.In addition, PNC generally provides the following paid time off, depending on your eligibility: maternity and/or parental leave; up to 11 paid holidays each year; 9 occasional absence days each year, unless otherwise required by law; between 15 to 25 vacation days each year, depending on career level; and years of service.To learn more about these and other programs, including benefits for full time and part-time employees, visitpncthrive.com.
Disability Accommodations StatementIf an accommodation is required to participate in the application process, please contact us via email at AccommodationRequest@pnc.com. Please include "accommodation request" in the subject line title and be sure to include your name, the job ID, and your preferred method of contact in the body of the email. Emails not related to accommodation requests will not receive responses. Applicants may also call 877-968-7762 and say "Workday" for accommodation assistance. All information provided will be kept confidential and will be used only to the extent required to provide needed reasonable accommodations.
At PNC we foster an inclusive and accessible workplace. We provide reasonable accommodations to employment applicants and qualified individuals with a disability who need an accommodation to perform the essential functions of their positions.
PNC provides equal employment opportunity to qualified persons regardless of race, color, sex, religion, national origin, age, sexual orientation, gender identity, disability, veteran status, or other categories protected by law.
This position is subject to the requirements of Section 19 of the Federal Deposit Insurance Act (FDIA) and, for any registered role, the Secure and Fair Enforcement for Mortgage Licensing Act of 2008 (SAFE Act) and/or the Financial Industry Regulatory Authority (FINRA), which prohibit the hiring of individuals with certain criminal history.
California ResidentsRefer to the California Consumer Privacy Act Privacy Notice to gain understanding of how PNC may use or disclose your personal information in our hiring practices.
About PNC Bank
Sourced by ZipRecruiter
Industry
Banking and credit intermediation
Company size
10,000+ Employees
Headquarters location
Pittsburgh, PA, US
Year founded
1852