Supervisor, Operations - Training, QA, & Documentation | Advisory-Managed New Accounts
Raymond James Financial, Inc.
**Key Responsibilities:**
+ Lead and manage a team of trainers, quality assurance analysts, and documentation specialists.
+ Oversee the design, delivery, and evaluation of training programs to support onboarding, role-specific development, and ongoing education.
+ Collaborate with department leaders to assess training needs and align learning strategies with business goals.
+ Stay current on industry trends, adult learning principles, and instructional design best practices.
+ Support change management initiatives through targeted training and communication efforts.
+ Develop and maintain quality assurance policies, procedures, and performance standards.
+ Conduct audits and assessments to identify risks, inefficiencies, and opportunities for improvement.
+ Provide coaching and guidance to staff on quality standards and financial control procedures.
+ Analyze performance data to identify trends and drive strategic improvements.
+ Ensure timely and accurate reporting of audit findings, control gaps, and remediation efforts.
+ Present quality and performance insights to senior leadership.
+ Establish and maintain documentation standards, templates, and procedures to ensure consistency and compliance.
+ Monitor regulatory changes and ensure documentation practices align with industry requirements.
+ Contribute to annual and long-term planning, including forecasting performance, resource needs, and business cases for key initiatives.
+ Provide ongoing coaching and development to team members to enhance their skills and performance.
+ Collaborate with business units to identify pain points and recommend tech-based solutions.
+ Champion the adoption of digital tools and platforms across departments.
+ Stay current with emerging technologies and industry trends relevant to operational efficiency.
+ Build business cases for technology investments and present findings to senior leadership.
**Qualifications & Skills:**
+ Strong understanding of internal controls, risk management, and regulatory compliance in a brokerage or financial services environment.
+ Proven ability to manage multiple priorities and projects in a fast-paced setting.
+ Exceptional communication, presentation, and facilitation skills.
+ Demonstrated ability to provide guidance and training using clear, effective verbal and written communication.
+ Ability to interpret and apply laws, regulations, and policies independently while providing technical guidance to others.
+ Skilled in negotiation and consensus-building across teams with differing priorities.
+ Experience in leading cross-functional teams and driving continuous improvement.
**Licenses/Certifications:**
+ **SIE required** or **ability to obtain within 120 days** (as required by FINRA), provided that an exemption or grandfathering cannot be applied.
+ **Series 99 required,** or **ability to obtain within 120 days** (as required by FINRA). Persons holding Series 6, 7, 17, 37 or 38 or those who hold principal-level registrations: Series 4, 9/10, 14, 16, 23, 24, 26, 27, 28, 51, and 53 would be qualified to register as an Operations Professional (Series 99) without passing the examination.
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