The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
E*TRADE Risk Officer
Alpharetta, GA · On-site
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
E*TRADE Risk Officer
Alpharetta, GA · On-site
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
E*TRADE Risk Officer
Sandy, UT · On-site
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
E*TRADE Risk Officer
Sandy, UT · On-site
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership ...
Senior Client Support Specialist
$110K - $125K/yr
The Senior Client Support Specialist will work closely with the Sky Road COO to document and develop enhanced support processes for trade workflows, trading templates, and application permission ...
Senior Client Support Specialist
$110K - $125K/yr
The Senior Client Support Specialist will work closely with the Sky Road COO to document and develop enhanced support processes for trade workflows, trading templates, and application permission ...
Senior Client Support Specialist
$110K - $125K/yr
The Senior Client Support Specialist will work closely with the Sky Road COO to document and develop enhanced support processes for trade workflows, trading templates, and application permission ...
Senior Client Support Specialist
$110K - $125K/yr
The Senior Client Support Specialist will work closely with the Sky Road COO to document and develop enhanced support processes for trade workflows, trading templates, and application permission ...
As a Compliance Officer, you will report to the Chief Compliance Officer and handle various tasks supporting the firm's global compliance operations, focusing on securities and futures trade ...
As a Compliance Officer, you will report to the Chief Compliance Officer and handle various tasks supporting the firm's global compliance operations, focusing on securities and futures trade ...
As a Global Trade Sales Associate in Trade and Working Capital, you will support Trade Sales ... Supports officers with industry research, public filings, and financial statement due diligence to ...
As a Global Trade Sales Associate in Trade and Working Capital, you will support Trade Sales ... Supports officers with industry research, public filings, and financial statement due diligence to ...
As a Global Trade Sales Associate in Trade and Working Capital, you will support Trade Sales ... Supports officers with industry research, public filings, and financial statement due diligence to ...
As a Global Trade Sales Associate in Trade and Working Capital, you will support Trade Sales ... Supports officers with industry research, public filings, and financial statement due diligence to ...
Defense Trade Specialist
Washington, DC · On-site
$65K - $90K/yr
... supporting the Arms Export Control Act (AECA) needs of our customers. This level at DTS works on ... from action officer to C‑Suite) in a defense industry enterprise. * Ability to establish and ...
Defense Trade Specialist
Washington, DC · On-site
$65K - $90K/yr
... supporting the Arms Export Control Act (AECA) needs of our customers. This level at DTS works on ... from action officer to C‑Suite) in a defense industry enterprise. * Ability to establish and ...
As a Lead International Trading Support Analyst at Ridgeline focused on Front Office support, you ... Work directly with Portfolio Managers, Traders, and Chief Compliance Officers to understand ...
As a Lead International Trading Support Analyst at Ridgeline focused on Front Office support, you ... Work directly with Portfolio Managers, Traders, and Chief Compliance Officers to understand ...
As a Lead International Trading Support Analyst at Ridgeline focused on Front Office support, you ... Work directly with Portfolio Managers, Traders, and Chief Compliance Officers to understand ...
As a Lead International Trading Support Analyst at Ridgeline focused on Front Office support, you ... Work directly with Portfolio Managers, Traders, and Chief Compliance Officers to understand ...
This role enables Sales success by building and managing trade spend processes, supporting ... Following approval from the CEO, CFO, and CSO, lead the implementation, management, and continuous ...
This role enables Sales success by building and managing trade spend processes, supporting ... Following approval from the CEO, CFO, and CSO, lead the implementation, management, and continuous ...
Defense Trade Specialist
Washington, DC · On-site +1
$65K - $90K/yr
... supporting the Arms Export Control Act (AECA) needs of our customers. This level at DTS works on ... from action officer to C-Suite) in a defense industry enterprise. * Ability to establish and ...
Defense Trade Specialist
Washington, DC · On-site +1
$65K - $90K/yr
... supporting the Arms Export Control Act (AECA) needs of our customers. This level at DTS works on ... from action officer to C-Suite) in a defense industry enterprise. * Ability to establish and ...
This role enables Sales success by building and managing trade spend processes, supporting ... Following approval from the CEO, CFO, and CSO, lead the implementation, management, and continuous ...
This role enables Sales success by building and managing trade spend processes, supporting ... Following approval from the CEO, CFO, and CSO, lead the implementation, management, and continuous ...
Trade and Customs Analyst
Lisle, IL · On-site
$85K - $95K/yr
... COO, PGA applicability (primarily FDA), ADD/CVD, Section 301 and 232 applicability, etc ... Support review and resolution of post-entry Customs notifications (CF-28, CF-28, Liquidated Damages ...
Trade and Customs Analyst
Lisle, IL · On-site
$85K - $95K/yr
... COO, PGA applicability (primarily FDA), ADD/CVD, Section 301 and 232 applicability, etc ... Support review and resolution of post-entry Customs notifications (CF-28, CF-28, Liquidated Damages ...
Trade Compliance Officer
Dayton, OH · On-site
... Trade Compliance Officer is to be a strong individual contributor to the AV organization ... International Business Development and Program Management Support - Provide expert guidance to the ...
Trade Compliance Officer
Dayton, OH · On-site
... Trade Compliance Officer is to be a strong individual contributor to the AV organization ... International Business Development and Program Management Support - Provide expert guidance to the ...
Trade Support Officer information
See salary details
$2.5K - $2.9K
2% of jobs
$2.9K - $3.3K
1% of jobs
$3.3K - $3.7K
5% of jobs
$3.7K - $4K
6% of jobs
$4.4K is the 25th percentile. Wages below this are outliers.
$4K - $4.4K
11% of jobs
$4.4K - $4.8K
11% of jobs
The median wage is $5.1K / yr.
$4.8K - $5.1K
16% of jobs
$5.1K - $5.5K
17% of jobs
$5.7K is the 75th percentile. Wages above this are outliers.
$5.5K - $5.9K
15% of jobs
$5.9K - $6.3K
11% of jobs
$6.3K - $6.6K
5% of jobs
$2.5K
$5.1K
$6.6K
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E*TRADE Risk Officer
Tampa, FL
Full-time
Re-posted 22 days ago
Morgan Stanley rating
8.3
Based on 158 frontline employees who took The Breakroom Quiz
Job description
Morgan Stanley is a globalfinancial services firm that provides investment banking, securities, investment management, and wealth management services to corporations, governments, institutions, and individuals worldwide. E*TRADE from Morgan Stanley delivers digital investing platforms and service capabilities designed to support a strong client experience and connect self-directed clients with the broader products and resources available across Morgan Stanley.
The Risk Officer supports E*TRADE Premium & Specialty Client and Emerging Wealth Solutions by executing a broad range of supervisory, compliance, and risk responsibilities. Working in partnership with the Senior Risk Officer, the Risk Officer helps maintain a consistent control environment through adherence to ethical standards, applicable federal/state/local requirements, and Morgan Stanley Wealth Management policies, and escalates significant issues to the Senior Risk Officer in a timely manner.
Morgan Stanley's culture is grounded in integrity, excellence, and teamwork, and the firm offers a strong environment for professional development and growth.
Duties & Responsibilities:
- Own day-to-day risk, supervisory, and compliance oversightfor E*TRADE SelfDirected and covered client segments, including E*TRADE Premium & Special Client (ETPS) and Emerging Wealth Solutions (EWS).
- Maintain a strong control environmentby promoting ethical business practices and ensuring adherence to applicable laws, regulations, and firm policies and procedures.
- Manage and facilitate supervisory inquiries and escalation requests from ETPS & EWS by partnering with the Senior Risk Officer (SRO), Associate/Regional Risk Officer (ARRO/RRO), and business management to drive timely resolution.
- Provide coaching and guidance to Relationship Managers, Team Leads, and Managerson supervisory expectations, policy interpretation, and procedural requirements to strengthen risk awareness and compliance culture.
- Ensure supervisory approvals and oversight case escalations are executed accurately and within required timeframes, validating that supervisory actions, documentation, and follow-up meet policy standards.
- Support compliance examinations and internal audit activities, including readiness planning, evidence collection, and timely response coordination.
- Oversee ongoing risk monitoring and control executionacross key risk areas (including operational risk, conduct risk, and data/security-related risk) and implement enhancements as needed.
- Drive consistent communication of Morgan Stanley Wealth Management policies and regulatory expectationsto service and supervisory teams, ensuring updates are understood and operationalized.
- Partner with Legal and Compliance on escalations, coordinating communications, documentation, and response support as appropriate.
- Ensure continuous and appropriate supervisory coverage, working with Management, Site Leaders, and the Senior Risk Officer to maintain coverage models and back-up plans.
- Oversee adherence to the E*TRADE SelfDirected Compliance and Supervisory Manualand support implementation of new policies/standards to ensure EWS and ETPS processes remain current and effective.
- Monitor "people risk" indicators(e.g., training, conduct trends, policy adherence), escalating concerns and partnering with leadership to ensure appropriate corrective action.
- Co-facilitate compliance and supervisory training, in partnership with the Senior Risk Officer, to ensure colleagues understand and apply Wealth Management compliance policies and procedures.
- Support onboarding risk controls for new hires, including Employee Investing/Activities Compliance (OBI/OBA approvals, private investment reviews, Monthly Employee Dashboard checks, and early-supervision routines).
- Conduct risk-based oversight reviews of service center activities-including referrals, line-of-credit monitoring for regulatory compliance, account restrictions, disbursements and credits, trade/crypto supervision, and other control reviews as needed.
Required Experience and/or Qualifications
- Bachelor's degree required or equivalent education or experience
- Previous industry experience
- Active Series 7, 8 (or 9 and 10), and 63, 65 (or 66)
- Other licenses as required for role or by management
Knowledge & Skills
- Strong understanding of SEC/FINRA Regulatory requirements and knowledge of internal compliance policies and supervisory procedures.
- Clear, concise written and verbal communicator able to deliver guidance, training, and escalation updates to varied audiences.
- Detail-oriented with strong organizational skills; able to manage multiple priorities accurately in a deadline-driven environment.
- Applies structured analysis to identify issues/trends and drive timely, well-documented resolution and remediation, including escalation when needed.
- Demonstrated leadership and/or supervisory experience; able to partner effectively with business leadership and control partners.
- Exercises strong judgment and discretion in all business risk matters, including sensitive supervisory and conduct-related topics
Reports to:
- Senior Risk Officer
WHAT YOU CAN EXPECT FROM MORGAN STANLEY:
At Morgan Stanley, we raise, manage and allocate capital for our clients - helping them reach their goals. We do it in a way that's differentiated - and we've done that for 90 years. Our values - putting clients first, doing the right thing, leading with exceptional ideas, committing to diversity and inclusion, and giving back - aren't just beliefs, they guide the decisions we make every day to do what's best for our clients, communities and more than 80,000 employees in 1,200 offices across 42 countries. At Morgan Stanley, you'll find an opportunity to work alongside the best and the brightest, in an environment where you are supported and empowered. Our teams are relentless collaborators and creative thinkers, fueled by their diverse backgrounds and experiences. We are proud to support our employees and their families at every point along their work-life journey, offering some of the most attractive and comprehensive employee benefits and perks in the industry. There's also ample opportunity to move about the business for those who show passion and grit in their work.
To learn more about our offices across the globe, please copy and paste https://www.morganstanley.com/about-us/global-offices into your browser.
Morgan Stanley is an equal opportunity employer committed to building and maintaining a workforce that is diverse in experience and background. Our recruiting efforts reflect our strong commitment to a culture of inclusion, where individuals are hired, developed, and advanced based on their skills and talents.
Our workforce reflects a broad cross-section of the global communities in which we operate, bringing a variety of backgrounds, talents, perspectives, and experiences.
For more information, please visit: https://www.morganstanley.com/people-opportunities/eeo.
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About Morgan Stanley
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Since our founding in 1935, Morgan Stanley has been committed to serving local and global communities by being a market leader in Investment Banking, Securities, Investment Management and Wealth Management services. Our belief that capital can work to benefit all of society inspires us to put our clients first, lead with exceptional ideas, hold our business to high ethical standards, and give back to communities around the world through philanthropy and public works. We have a smart casual dress code and operate under a philosophy that balances work with your personal life. Our people's talent, passion, and expertise is the fuel on which our organization runs, therefore, our people are our greatest asset. Diversity and inclusiveness is a critical component for our success and it is our priority to continue building a firm that values the unique background and identity of every one of our employees, thus enabling our people to bring their full, and best selves to work each day. Teamwork is the essence of our approach, and so are the values of integrity, excellence, and enabling our people to achieve at the highest levels. We invite you to learn more about our commitment to diversity and serving our community.
Industry
Finance and insurance and software development
Company size
10,000+ Employees
Headquarters location
New York, NY, US