27 days old

Supervision Manager

Houston, TX 77007
**Job Description:**

The Supervision Manager position will serve to ensure regulatory compliance and corporate mandates for all administrative, sales, and operational activities performed by Field Financial Services Advisors

(FSA), Banking Financial Advisors (BFA), & Corporate Financial Solutions Advisors (CFSA) in the Merrill Edge platform. This platform within the Consumer Banking & Merrill Edge has over 193 billion in assets under management. A predominate objective of the position is to limit risk and financial exposure to the business unit and the firm. The Supervision Manager (SM) reports to the Division Supervision manager. The SM is a member of the Branch Leadership

Team, along with members of the Centralized Supervision. The SM supports the Firm's business objectives and contributes to the line of business profitability by influencing Advisor business practices in ways that minimize regulatory and financial risk as well as uphold the Firms' reputation. Ultimately, the SM protects the Firm, helps growth business responsibly, and serves the client by proactively managing and mitigating risks. Supervision manager as a member of the branch leadership team, is responsible for a wide variety of delegated Supervision which includes administrative and business functions related to the regulatory supervisors responsibilities for the parent and associate offices. He or

she functions independently, or with minimal guidance, Supervision manager and supports the company's business objectives and contributes to branch office profitability by influencing Financial Advisor business practices in ways that minimize regulatory, financial and reputational risks.

Specific Responsibilities include (but are not limited to) the following:

+ Coach and drive good behaviors and best practices to operate within the companys risk controls and promote operational excellence.

+ Use existing supervisory applications to complete semi-annual audits of each individual FSA/BFA/CFSA location, ensuring compliance with all policies, procedures, settings and circumstances. Secondary locations are to be visited annually.

+ Review, respond, and resolve Sales Practice customer complaints received verbally or in writing for Merrill edge.

+ Assist in arbitration and legal matters.

+ Perform client contact, as necessary.

+ Review and maintain all Client, Compliance and Regulatory Incoming and Outgoing Correspondence

+ Provide market and non-market action decisions.

+ Review and approval of any sales seminars, outside speaking engagements or media coverage conducted by FSAs/BFAs.

+ Monitor and review Investor Profile changes.

+ Monitor accounts with large debit balances and short market values over $500,000 and coordinate approval with Credit Administration and clients.

+ Review Policy Settlements of a particular threshold to ensure settlements are within Firm Policy and Procedures.

+ Monitor and review large trade and managed account enrollments

+ Review exception requests for Control Securities and coordinate with Field FSAs/BFAs.

+ Monitor and manage registration, licensing and continuing

Required Skills: Must have these skills to be minimally qualified.

+ Bachelors Degree or equivalent work experience

+ Must have FINRA Series 7, 8 or 9/10, 63/65 or 66 to be considered for the role (in lieu of the 8 or 9/10 we could consider candidates holding all of the following licenses: 4, 24, and 53)

+ Familiarity with compliance and regulatory issues

+ Strong auditing background with willingness to travel

+ Strong leadership abilities, communication and delegation skills

+ Familiarity with Microsoft Word, Excel, and PowerPoint

_Enterprise Role Overview:_

_The Supervision Manager serves to ensure regulatory compliance and corporate mandates for all administrative, sales, and operational activities performed by registered associates. Primarily responsible for limiting risk and financial exposure to the business unit and the firm for registered associates located in call centers or financial centers. Responsible for day to day front line supervision, including mandated supervisory reviews and enterprise alerts, trade, solution & enrollment review, trade correction, and complaint resolution. Additional responsibilities include development of advisor proficiency through supplemental training, active coaching & remediation of policy and procedure violations. Series 7, 66, 9/10 or equivalent required_

**Posting Date** : 04/18/2019

**Location** :

Houston, TX, 20 GREENWAY PLZ (TX6020),

- United States

**Travel** : Yes, 25% of the time

**Full / Part-time** : Full time

**Hours Per Week** : 40

**Shift** : 1st shift

**Assistance for Applicants with Disabilities**

Bank of America is committed to ensuring that our online application process provides an equal employment opportunity to all job seekers, including individuals with disabilities. If you believe you need a reasonable accommodation in order to search for a job opening or to submit an application, please visit the Applicants with Disabilities page at http://careers.bankofamerica.com/us/applicants-with-disabilities .

**Diversity & Inclusion**

At Bank of America, our commitment to diversity and inclusion is helping us to create not only a great place to work, but also an environment where our employees, our customers and our communities around the world can reach their goals and connect with each other. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, national origin, genetics, disability, age, or veteran status.

**Frequently Asked Questions**

Need to know how to apply online, view a list of your submitted job applications or reset your password? Visit our FAQ at http://careers.bankofamerica.com/us/faq section for answers to these questions and more.


  • Banking / Finance
Posted: 2019-04-22 Expires: 2019-05-22

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Supervision Manager

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Houston, TX 77007

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