Compliance Specialist
Quick Summary
Allworth Financial ( www.allworthfinancial.com ) is an independent investment financial advisory firm that specializes in retirement planning, investment advising,
Allworth Financial (www.allworthfinancial.com) is an independent investment financial advisory firm that specializes in retirement planning, investment advising, and 401(k) management with a direct approach to financial planning. Allworth Financial delivers long- and short-term investment planning solutions and advice to help clients achieve their goals and plan strategically for retirement.
Allworth Financial is a high growth, private equity backed, multi branch Registered Investment Advisor. Founded in Sacramento, California, in 1993 Allworth is primarily a fee-based, employee-centric fiduciary advisory firm, that prides itself on emphasizing client well-being and education. The business is a multi-billion dollar firm and is on track for continued growth through both acquisitions and strong organic growth. Allworth is considered a great place to work and was once again given the prestigious “Circle of Excellence” award by the National Business Research Institute for employee and client satisfaction in 2021, placing it among the best-loved brands in America. Allworth Financial was also recognized as a Barron's Top 40 RIA in 2024.
The Compliance Specialist position is responsible for assisting with the administration of the compliance program for Allworth Financial, an SEC Registered Investment Adviser, and AW Securities, a FINRA registered broker/dealer.
Responsibilities
~1 min read- →Assist in the ongoing implementation of the Compliance Program and its related activities to prevent illegal, unethical, or improper conduct.
- →Engages in proactive surveillance activities to detect and resolve potential compliance issues.
- →Assist with the implementation and maintenance of the firm’s anti-money laundering program.
- →Receives and reviews requests for marketing and advertising review and approval
- →Assists with inquiries from internal business partners regarding Compliance related issues.
- →Identifies potential areas of compliance vulnerability and risk; develops/implements corrective action plans for resolution of issues.
- →Assists in communicating the compliance program for the organization, including promoting awareness of policies and procedures, and further understanding of new and existing compliance issues.
- →Assists in the filing and monitoring of registration (including continuing education and ethics requirements) and memberships of the Company and all relevant associates stay current.
- →Prepare and submit regulatory filings including SEC Forms 13F, 13H and Form N-PX
Requirements
~1 min read- Bachelor’s degree (B.A.) in a related discipline
- Three (3-5) years of experience working with investment advisor and broker/dealer compliance issues, including review and oversight of independent investment advisors and registered representatives.
- Strong working knowledge of FINRA, SEC and state regulations including Investment Adviser’s Act of 1940.
- Securities Licenses: Series 7, 24, 63 and 65 or 66 are required.
- Experience reviewing and approving complex marketing materials
- Experience with industry specific technology platforms and vendors (Hadrius, QuestCE, WebCE, EDGAR)
- Experience with GIPS reporting standards beneficial
What We Offer
~2 min readListing Details
- Posted
- February 20, 2026
- First seen
- March 26, 2026
- Last seen
- April 12, 2026
Posting Health
- Days active
- 17
- Repost count
- 0
- Trust Level
- 39%
- Scored at
- April 12, 2026
Signal breakdown
Please let Allworthfinancial know you found this job on Jobera.
4 other jobs at Allworthfinancial
View all →Explore open roles at Allworthfinancial.
Similar Compliance Specialist jobs
Stay ahead of the market
Get the latest job openings, salary trends, and hiring insights delivered to your inbox every week.
No spam. Unsubscribe at any time.