Supervision Manager

Richardson, Texas, United States

Supervision Manager

  • 202604051
  • Richardson, Texas, United States
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Description

The Role

As the Supervision Manager, you’ll be responsible for overseeing the supervisory framework of the Registered Investment Advisor (RIA) business and Fixed Insurance Business (FIB).  This role will ensure adherence with SEC and state regulations while supporting advisors and brokers in delivering high-quality client service.  This role leads supervision processes, monitors advisor and broker activity, and partners with Compliance and Operations to mitigate risk and strengthen supervisory practices.

The Responsibilities

Supervision & Oversight 

  • Oversee day-to-day supervisory activities for RIA advisors and licensed brokers 
  • Review and approve client accounts, investment recommendations, and advisory activities in accordance with firm policies and regulatory requirements
  • Escalate and resolve supervisory issues, exceptions, and potential compliance risks in a timely manner
  • Conduct advisor and broker oversight meetings to evaluate adherence to firm standards

Regulatory Compliance

  • Ensure adherence to SEC regulations (e.g., Investment Advisers Act of 1940), state requirements, and internal policies
  • Partner with Compliance to implement regulatory changes and maintain supervisory procedures
  • Support internal and external audits and regulatory exams
  • Maintain accurate records of supervisory reviews and approvals

Advisor Support & Guidance

  • Serve as a primary point of contact for advisors and brokers regarding supervisory guidance and policy interpretation
  • Provide coaching to advisors and brokers on risk management, client suitability, and best practices
  • Assist with onboarding and ongoing training of advisors and brokers on supervision and compliance requirements

 

Risk Management

  • Identify trends, emerging risks, and supervisory gaps; recommend process improvements
  • Analyze account activities and client interactions for suitability and fiduciary alignment
  • Collaborate with Compliance and Legal to handle escalations, complaints, and investigations

Process & Program Development

  • Develop and enhance supervisory procedures, controls, and documentation
  • Participate in technology enhancements to improve efficiency and oversight
  • Create reporting dashboards and metrics for leadership on supervision effectiveness

Qualifications

The Qualifications

Experience and Expertise

  • 5 – 10+ years of experience in wealth management, RIA supervision, compliance, or broker-dealer supervision
  • Deep knowledge of SEC regulations, fiduciary standards, and RIA compliance frameworks
  • Strong grasp of RIA and Insurance products

 

Skills and Capabilities

  • Exceptional organizational skills with keen attention to detail and accuracy
  • Strong analytical and risk assessment skills
  • Excellent judgment and decision-making abilities under regulatory and reputational pressure
  • Effective communication and interpersonal skills with the ability to influence and coach

 

Education and Licenses

  • Bachelor's degree in Business, Finance, or related field
  • Series 65 or 66 
  • Series 7 and/or 24 a plus
  • Active state insurance licensing

     

     

This position will remain posted for a minimum of three business days from the date posted or until a sufficient/appropriate candidate slate has been identified.

Compensation and Benefits

Base salary range and benefits information for this position are being included in accordance with requirements of various state/local pay transparency legislation. Please note that salaries may vary for different individuals in the same role based on several factors, including but not limited to location of the role, individual competencies, education/professional certifications, qualifications/experience, performance in the role and potential for revenue generation (Producer roles only).

Compensation

The base salary compensation range being offered for this role is $135,000– $185,000 USD per year. This role is also eligible for an annual short-term incentive bonus.

Company Benefits

WTW provides a competitive benefit package which includes the following (eligibility requirements apply):

  • Health and Welfare Benefits: Medical (including prescription coverage), Dental, Vision, Health Savings Account, Commuter Account, Health Care and Dependent Care Flexible Spending Accounts, Group Accident, Group Critical Illness, Life Insurance, AD&D, Group Legal, Identify Theft Protection, Wellbeing Program and Work/Life Resources (including Employee Assistance Program)
  • Leave Benefits: Paid Holidays, Annual Paid Time Off (includes paid state/local paid leave where required), Short-Term Disability, Long-Term Disability, Other Leaves (e.g., Bereavement, FMLA, ADA, Jury Duty, Military Leave, and Parental and Adoption Leave), Paid Time Off
  • Retirement Benefits: Contributory Pension Plan and Savings Plan (401k). All Level 38 and more senior roles may also be eligible for non-qualified Deferred Compensation and Deferred Savings Plans.

Pursuant to the San Francisco Fair Chance Ordinance and Los Angeles County Fair Chance Ordinance for Employers, we will consider for employment qualified applicants with arrest and conviction records.

EOE, including disability/vets

主动联系

任何未经请求主动通过我们的网站或韦莱韬悦员工的个人电子邮件帐户提交的简历/应聘者资料,均视为韦莱韬悦的财产,且无需支付代理费用。要成为韦莱韬悦的授权招聘机构/猎头公司,此类机构必须持有由韦莱韬悦授权招聘人员签署的正式书面协议,并与公司保持积极的工作关系。简历必须按照我们的应聘者提交流程进行提交,包括积极参与特定职位的搜索工作。同样,对于我们授权的招聘机构/猎头公司,如果未能遵守应聘者提交流程,韦莱韬悦将不支付任何代理费用。韦莱韬悦是提倡机会均等的雇主。如果您希望我们保存您的联系信息以便将来考虑,请发送电子邮件至:Agency.inquiries@willistowerswatson.com

我们的办事处

我们的员工为全球 140 多个国家和市场提供服务。这为我们所做的每一项工作注入了全球视野,同时也能够为您创造许多绝佳的合作机遇与成长空间。探索下面的地图,探索您的职业发展可能。