Team Leader - Annuity Field Supervision at Edward D. Jones

Posted in Legal 10 days ago.

Type: Full-Time
Location: St. Louis, Missouri





Job Description:

Join a financial services firm where your contributions are valued.  Edward Jones is a Fortune 500¹ company where people come first. With over 8 million clients and 19,000 financial advisors across the U.S. and Canada, we’re proud to be privately-owned, placing the focus on our clients rather than shareholder returns.

Behind everything we do is our purpose: We partner for positive impact to improve the lives of our clients and colleagues, and together, better our communities and society. We are an innovative, flexible, and inclusive organization that attracts, develops, and inspires performance excellence and a sense of belonging. 

People are at the center of our partnership. Edward Jones associates are seen, heard, respected, and supported. This is what we believe makes us the best place to start or build your career. 

View our Purpose, Inclusion and Citizenship Report.

1Fortune 500, published June 2023, data as of December 2022. Compensation provided for using, not obtaining, the rating.

Do you enjoy putting pieces together to know the bigger picture and partnering to solve complex issues? If so, there is an exciting career opportunity waiting for you in our Field Supervision Department!

The Annuity Field Supervision Teams are accountable for the supervision of annuity transactions – taking appropriate actions consistent with firm and industry guidelines. This position is accountable for leading a team of Annuity Field Supervision Directors who provide help to our branch offices and internal departments. Key Responsibilities:


  • Oversee the performance of an Annuity Field Supervision team

  • Set clear expectations to ensure that reasonable supervision is being conducted by the team

  • Manage the day-to-day workflow of the team

  • Ensure that team members receive the training and development needed to become and remain effective team members

  • Conduct regular oversight of FSD work to ensure that reasonable supervision is taking place

  • Review and approve client contacts

  • Review expense reports to ensure that firm resources are being used wisely

  • Steer complex and/or technical projects and assist in the development of supervisory systems

  • Represent the department to other business areas of the firm, industry regulators, participate in sales practice exams, testify during FINRA arbitration cases, and participate in industry conferences

  • Promote professional standards that are with the firm culture as well as the department's stated mission and priorities

  • Provide guidance regarding complex supervisory judgments that may involve some level of rule interpretation.



  • Series 7 & 66 (or equivalent) required (Series 7 must be held for a minimum of 2 years)

  • Series 9 &10 (or equivalent), 24, and insurance license required (or must be obtained within 4 months of hire)

  • Securities industry experience and/or compliance experience is preferred

  • Bachelor's degree preferred

  • This position requires excellent product knowledge and knowledge of both industry regulations and firm policies and supervisory systems

  • Proven verbal and written communication skills

  • Ability to give effective coaching and feedback





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