Job Description
Join our elite compliance team with a comprehensive paid training program designed to accelerate your career in financial regulations. As a Compliance Officer at Global Financial Solutions Inc., you'll safeguard our organization against regulatory risks while receiving world-class mentorship and hands-on experience in a dynamic Minneapolis environment. Our 12-week paid training curriculum covers FINRA, SEC, and AML regulations, ensuring you're fully prepared for long-term success. Enjoy competitive benefits, flexible scheduling, and a clear path to advancement in one of America's fastest-growing financial sectors.
Responsibilities
- Monitor regulatory changes and implement compliance protocols across all business units
- Conduct internal audits and risk assessments with detailed reporting
- Develop and deliver compliance training programs to staff at all levels
- Investigate potential violations and recommend corrective actions
- Collaborate with legal and senior leadership on regulatory strategy
- Maintain comprehensive compliance documentation and reporting systems
- Lead cross-functional compliance initiatives and process improvements
Qualifications
- Bachelor's degree in Finance, Business, or related field (or equivalent experience)
- Strong attention to detail and analytical problem-solving abilities
- Excellent written and verbal communication skills
- Willingness to complete our paid 12-week compliance certification program
- Basic understanding of financial regulations (FINRA/SEC/AML)
- Proficiency in Microsoft Office and compliance software
- Ability to thrive in a fast-paced, regulated environment