Merrill Market Supervision Manager

Bank of America Bank of America · Banking · Washington, WA

Manager for Merrill Wealth Management focused on market supervision, ensuring Financial Advisors adhere to compliance, regulatory requirements, and firm policies to minimize risk and uphold reputation. This role involves monitoring advisor activity, coaching advisors on business practices, and managing delegated compliance functions.

What you'd actually do

  1. Manage delegated compliance, administrative and business functions related to the Merrill Wealth Management Market Executive's overall managerial responsibilities for parent and associate offices
  2. This individual functions independently, or with minimal guidance, but must keep the Market Executive informed on significant matters and must determine when the Market Executive should be directly involved
  3. Monitor advisor and client activity including financial transactions to ensure compliance with firm and regulatory requirements and minimize risk
  4. Coach advisors in supporting the company strategy and continuing to grow their businesses.

Skills

Required

  • SIE, Series 7 AND Series 66 (or Series 63 AND Series 65), Series 9 AND Series 10 (or Series 8) or equivalent licenses
  • Series 3, 31 licenses, if warranted
  • 5+ years professional experience
  • Risk management
  • Industry regulations
  • Supervisory requirements
  • Policies/procedures
  • Wealth management concepts
  • Financial services products
  • Decision Making
  • Influence
  • Negotiation
  • Problem Solving
  • Risk Management
  • Adaptability
  • Business Acumen
  • Collaboration
  • Oral Communications
  • Relationship Building
  • Business Operations Management
  • Client Solutions Advisory
  • Planning
  • Talent Development
  • Written Communications

Nice to have

  • Bachelor's degree or equivalent work experience
  • Market Supervision Manager experience, or completion of Merrill's Office Management Team Associate Development Program

What the JD emphasized

  • minimum of 5+ years professional experience
  • Proven ability to manage risk, make sound decisions by having a deep understanding of industry regulations, supervisory requirements, policies/procedures, wealth management concepts, and financial services products
  • Currently hold SIE, Series 7 AND Series 66 (or Series 63 AND Series 65), Series 9 AND Series 10 (or Series 8) or equivalent licenses