Senior Supervision Specialist

Dallas · Hybrid$92k – $127k

About this role

At Cetera, we strive for continuous improvement and operational excellence. Our corporate team plays a critical role in supporting the firm’s supervisory, compliance, and risk management frameworks. We are seeking a Senior Supervision Specialist to provide advanced principal oversight, act as a subject matter expert, and support supervisory leadership while operating in a fastpaced, highly regulated environment. 

This is a hybrid role, based in one of Cetera’s office location, Dallas, TX 

 

What You Will Do 

 

The Senior Supervision Specialist serves as a seniorlevel principal responsible for complex supervision functions, leadership support, and advanced risk oversight, including but not limited to: 

• Perform principal review and supervision of securities and direct business transactions across a complex book of business 
• Directly oversee assigned Financial Representatives by reviewing and approving new accounts, trading activity, correspondence, and ongoing account activity 
• Act as a subject matter expert and escalation point for supervision, compliance matters, firm policies, and regulatory interpretation 
• Provide guidance, coaching, and education to Financial Representatives and their staff regarding supervision standards, suitability, and firm expectations 
• Identify, assess, and address potential sales practice issues and regulatory concerns through detailed account and activity reviews 
• Partner closely with Compliance, Legal, Risk, Operations, Supervision leadership, and Home Office teams to address issues and implement solutions 
• Discuss supervisory concerns or potential violations directly with representatives and recommend corrective actions as appropriate 
• Support training initiatives, supervision presentations, and recruiting discovery days as needed 
• Assist Supervision leadership with process improvements, mentoring junior staff, and departmental initiatives 
• Promote a strong culture of compliance, accountability, and risk awareness across the field 

 

What You Need To Have 

 

• Bachelor’s degree required 
FINRA Series 7, 24, and 63 required 
FINRA Series 65 or 66 required 
FINRA Series 53 required (or ability to obtain within 6 months of hire if not already held) 
5+ years of progressive securities industry experience, including significant compliance and supervisory responsibilities 
5+ years of supervisory, principal, compliance, or sales leadership experience within the brokerage industry 
• Advanced working knowledge of securities products and services, including stocks, bonds, mutual funds, UITs, ETFs, REITs, annuities, options, alternative investments, and advisory products 
• Deep understanding of FINRA rules, regulatory requirements, suitability standards, and supervisory best practices 
• Strong criticalthinking, decisionmaking, and riskassessment skills 
• Excellent written and verbal communication skills, with the ability to engage effectively with representatives, leadership, and regulators 
• Demonstrated ability to operate independently in a fastpaced, timesensitive, supervisory environment 
• Proven leadership mindset with the ability to influence, mentor, and support others 

 

What Is Nice To Have 

 

• Additional FINRA licenses or industry certifications 
• Insurance licenses 
• Prior independent brokerdealer experience 
• Experience with systems such as Pershing, NFS, Smarsh, Albridge, Protegent, Salesforce and Docupace 
• Experience supporting M&A, region growth efforts, complex supervision matters, or firmwide initiatives 

 

Compensation 

 

The salary range for this role is $80,000 to $118,000 plus a competitive performancebased bonus. Compensation is based on a variety of factors, including experience, certifications, skills, and office location. Ranges may vary by geographic market due to labor cost considerations. 

 

#LI-Hybrid 

Company at a glance

Avantax, a unique community within Cetera Holdings, delivers tax-intelligent wealth management solutions for financial professionals, tax professionals & CPA firms, supporting its goal of minimizing clients’ tax burdens through comprehensive tax-intelligent financial planning. Avantax has two distinct, but related, models within its business: the independent Financial Professional model & the employee-based model. Avantax refers to its independent Financial Professional model as Avantax Wealth Management®. Avantax Wealth Management (AWM) works with a nationwide network of Financial Professionals operating as independent contractors & offers its services through its registered broker-dealer, Avantax Investment Services, Inc., Member FINRA, SIPC, registered investment advisor (RIA), Avantax Advisory Services, Inc., & insurance agency subsidiaries. We refer to our employee-based model as Avantax Planning Partners℠. Avantax Planning Partners offers services through its RIA, insurance agency, & affiliated broker-dealer, Avantax Investment Services, Inc., & partners with CPA firms to provide their consumer & small-business clients with holistic financial planning & advisory services.

Securities offered through Avantax Investment Services℠, Member FINRA (www.finra.org), SIPC (www.sipc.org). Investment advisory services offered through Avantax Advisory Services℠. Insurance services offered through licensed agents of Avantax Insurance Agency℠ & Avantax Insurance Services℠. 3200 Olympus Blvd., Suite 100, Dallas, TX, 75019, 972-870-6000. Visit Avantax.com/social_policy for more information. Avantax exclusively provides financial products and services & does not directly provide or supervise tax or accounting services. Its affiliated Financial Professionals may offer those services through their independent outside businesses. Financial Professionals’ outside companies aren't registered investment advisers.

Founded1983
Team Size501-1,000 employees
WorkspaceHybrid
IndustryFinancial Services
Location
Dallas, Texas, United States
LinkedInLinkedIn

Top Benefits

  • Performance-based bonus

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