Posted August 24, 2026
Compliance Officer
Larson Financial Group, LLC
Saint Louis, Missouri 63102, United States
Full-Time
105000.00 - 140000.00
Reference: 3160216294
Larson Financial Group, LLC seeks a Compliance Officer to support the Legal & Regulatory Compliance department within our financial services firm focused on medical professionals. You will oversee compliance programs, monitor regulatory changes, conduct reviews, and advise leadership and Financial Advisors on SEC/FINRA and state regulations. Partnering closely with our client-centric advisory team, you will help ensure ethical practices, mitigate risk, and support compliant delivery of tailored financial strategies to clients nationwide.
Responsibilities
- Design, maintain, and enhance the firm's compliance program and policies
- Monitor SEC, FINRA, and state regulatory changes and advise leadership
- Conduct periodic compliance reviews, testing, and surveillance
- Support and oversee advisor activities and marketing material reviews
- Investigate and document client complaints and incidents
- Prepare for and support internal and external audits and regulatory exams
- Deliver compliance training and guidance to Financial Advisors and staff
- Maintain required records and reporting for regulators
- Collaborate with Legal & Regulatory Compliance and advisory teams on new initiatives
- Identify and mitigate emerging compliance and operational risks
Required Skills
- Regulatory compliance (SEC/FINRA)
- Risk assessment and monitoring
- Policy development and implementation
- Compliance testing and surveillance
- Investment advisory compliance
- AML/KYC procedures
- Audit preparation and response
- Complaint and incident investigation
- Compliance training delivery
- Microsoft Excel and compliance systems
