Compliance Manager
Madison Avenue Securities ‚Ä¢ San Diego, California ‚Ä¢ Full Time ‚Ä¢ $94,000–$125,000 / year
Posted on Sat, Aug 15, 2026
- Serve as a primary compliance resource for MAS advisors, providing timely, practical guidance on regulatory, policy, and compliance questions.
- Partner with advisors and business leaders to identify compliance risks and develop solutions that meet regulatory and ethical standards.
- Support compliance activities across both the broker-dealer and registered investment adviser businesses.
- Educate advisors and employees on compliance requirements, policies, procedures, and regulatory expectations.
- Assist with customer complaints, including communicating directly with an advisor’s end client when appropriate.
- Help advisors navigate complex or changing regulatory requirements and escalate higher-risk matters to the Chief Compliance Officer or appropriate Compliance team.
- Assist with the development, implementation, and monitoring of compliance policies, procedures, and controls.
- Respond to compliance-related requests from product firms, regulators, internal stakeholders, and other external parties.
- Support advisor suitability requests and provide information requested by product firms.
- Support internal compliance reviews, audits, risk assessments, regulatory examinations, and other monitoring activities.
- Maintain thorough documentation and records related to compliance inquiries, reviews, activities, and resolutions.
- Develop and maintain compliance metrics and reporting to help leadership identify trends, risks, and areas requiring attention.
- 3–5 years of experience in financial services, securities, broker-dealer, registered investment adviser, or related compliance functions.
- Series 7 registration required.
- Strong working knowledge of securities industry regulations and the ability to interpret and apply federal and state regulatory requirements.
- Demonstrated understanding of broker-dealer and investment adviser compliance, including supervision and supervisory responsibilities.
- Strong relationship-building and communication skills, with the ability to establish credibility and explain complex regulatory requirements clearly.
- A collaborative, solutions-oriented approach with the ability to work independently, exercise sound judgment, and know when to escalate compliance matters.
- Series 24 registration.
- Experience with branch or regulatory examinations.
- Experience responding to customer complaints or regulatory inquiries.
- Bachelor’s degree in business, finance, compliance, or a related field.
- Salary range $94,000-$125,000 annually
- Benefits including medical, dental, vision and 401k (with matching options)
- Generous paid time off package upon your start date
Presented by Advisor Talent Solutions Advisor Talent Solutions, part of the AE Management, LLC family of companies, supports independent advisor businesses with their hiring needs. We are not the employer for this position. If you are selected, your employer will be the hiring business. Our team is your main point of contact initially and will guide you through the application process. Learn more about our approach and services at advisortalentsolutions.com
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