| Aspect | Part Time Finra Series 7 | Part Time Stock Broker |
|---|
| Required Credentials | Finra Series 7 license | Finra Series 7 license |
| Work Environment | Financial firms, brokerage firms | Financial firms, brokerage firms |
| Employer & Industry Usage | Used by brokerage firms for licensing | Used by brokerage firms for client trading |
| Common Search & Comparison | Yes | Yes |
Both Part Time Finra Series 7 and Part Time Stock Broker roles require the Finra Series 7 license and are commonly found in brokerage firms. The Series 7 license enables individuals to sell a wide range of securities, while a stock broker actively manages client trades. The main difference lies in the job focus: the Series 7 is a licensing requirement, whereas a stock broker is a job title involving client interaction and trading activities.