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Securities Compliance Officer - AML & Elderly/Vulnerable Specialist

PRIMERICA

Duluth, GA · HybridJob$90–95K/yrPosted 4mo agoSeen in employer's feed 3 days ago

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At a glance

Compensation
$90–95K/yr
Location
Duluth, GAHybrid
Work Authorization
Not specified

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Requirements

Credentials this posting asks for.

Securities LicensesSIE ExamSeries 7Bachelor's degree

Job overview

PRIMERICA is hiring a Securities Compliance Officer - AML & Elderly/Vulnerable Specialist. The Securities Compliance Officer will join a team of Compliance Attorneys, Officers, and Analysts within the Broker-Dealer and Registered Investment Adviser's Securities Compliance Department. This role involves reviewing securities laws, developing compliance policies, conducting testing for regulatory risk, and responding to inquiries. The officer will also provide guidance and training on securities products offered by the firm.

Key focus areas include Conduct investigations into potential unusual activity and exploitation of elderly/vulnerable individuals, File required Suspicious Activity Reports (SARs) with FinCEN and conduct follow up investigations, and Run and research weekly AML reports, such as OFAC and 314(a), ensuring timely reporting.

Successful candidates bring Bachelor's Degree, 2+ Years Professional Experience, and Securities Licenses. Important skills include Reviewing Securities Laws And Regulations, Developing Policies And Procedures, Conducting Compliance Testing, Responding To Regulatory Inquiries, Responding To Regulatory Examinations, and Understanding Securities Products.

Skills & qualifications

RequiredNice to have

Skills

Reviewing Securities Laws and RegulationsDeveloping Policies and ProceduresConducting Compliance TestingResponding to Regulatory InquiriesResponding to Regulatory ExaminationsUnderstanding Securities ProductsProviding GuidanceProviding TrainingConduct InvestigationsDetermine Regulatory ReportingFile Suspicious Activity ReportsResearch AML ReportsReview Entity Account ApplicationsConduct Research on Clients and EntitiesVerify Source of FundsDeter Money LaunderingContact Representatives and ClientsDetect Unusual ActivityDetect Elderly/Vulnerable ExploitationImprove Tools to Monitor Suspicious ActivityConduct High Risk Jurisdiction ReviewsConduct Annual AML Risk AssessmentAssist in Regulatory ExaminationsAssist in Regulatory InquiriesCoordinate With Consulting FirmProvide AML GuidanceProvide Senior and Elderly Exploitation GuidanceProvide AML TrainingWork With Transfer AgentWork With Outside Fund CompaniesPlace Freezes on AccountsMaintain AML Policies and ProceduresEnhance AML Policies and ProceduresMaintain AML ProgramMaintain CIP ProgramIdentify AML LoopholesCoordinate ProjectsAttention to DetailThoroughnessSelf-StarterAnalytical SkillsManage Multiple PrioritiesCreate Clear PresentationsCreate Convincing PresentationsCreate Well-Organized PresentationsCreate Clear CommunicationsCreate Convincing CommunicationsCreate Well-Organized CommunicationsIdentifying RiskResearch Complex Problems

Qualifications

Bachelor's Degree2+ Years Professional ExperienceSecurities LicensesSIE ExamSeries 7Series 24Series 66MBAJuris DoctorateAdvanced Degree2-5 Years Experience in Financial Services IndustryCAMS Certification

Benefits

Medical Insurance
Dental Insurance
Vision Insurance
401(k) Match
Tuition Assistance
Paid Time Off

Full job description

Join Our Team

In 2025, USA Today recognized Primerica as a Top Workplace USA for the fifth year in a row, and Newsweek named Primerica one of America’s Greatest Workplaces for Diversity for the second consecutive year. In 2024, the Atlanta Journal-Constitution named Primerica as a Top Workplace for the eleventh consecutive year, and Forbes recognized Primerica as one of America’s Best Employers for Women for the fifth year in a row. In addition, for the tenth time Primerica has been voted a Best Employer by Gwinnett Magazine. Primerica is a great place to work! Join our team to experience what it’s like to work at “one of the best places to work in the metro Atlanta”.

About this Position

The Securities Compliance Department of a Broker-Dealer and Registered Investment Adviser has an opening for a compliance professional or attorney to join a team of Compliance Attorneys, Compliance Officers and Compliance Analysts. This role is responsible for reviewing securities laws and regulations, developing policies and procedures sufficient to comply with regulatory requirements, conducting compliance testing to identify and manage regulatory risk, and responding to regulatory inquiries and examinations. This person will also be responsible for understanding the securities products offered by the Firm, and providing guidance and training to the business and registered representatives.

This is a hybrid position that involves working 3 days onsite in the Duluth, Georgia office and 2 days remotely.

The estimated salary range for this role is $90k - $95k Annual

Responsibilities & Qualifications

ESSENTIAL DUTIES & RESPONSIBILITES:

  • Conduct investigations into potential unusual activity and potential elderly/vulnerable exploitation and determine if there is required regulatory reporting

  • File required Suspicious Activity Reports (SARs) with FinCEN and conduct required follow up investigations

  • Run and research weekly AML reports, such as OFAC and 314(a) and ensure required reporting is made timely

  • Review on all new entity account applications for potential AML concerns

  • Conduct research on clients and entities investing large dollar amounts to verify source of funds and deter money laundering

  • Contact representatives and clients to investigate and detect potential unusual activity and/or elderly/vulnerable exploitation

  • Aid in the improvement of tools to monitor, analyze, and report suspicious activity such as conducting high risk jurisdiction reviews

  • Conduct an annual AML risk assessment

  • Assist in regulatory examinations and inquiries related to AML

  • Coordinate with an outside consulting firm to conduct the annual independent review of the Firm’s AML Program

  • Provide AML and Senior and Elderly exploitation guidance and training to the business and the salesforce

  • Work with the transfer agent and outside fund companies to place freezes on accounts when necessary

  • Maintain and enhance AML policies and procedures, including the AML Program and CIP Program

  • Maintain the AML Identity Theft Prevention Program

  • Help with identifying any AML loopholes and coordinating projects to bridge those gaps

REQUIRED QUALIFICATIONS:

  • Bachelor’s Degree

  • 2+ years of professional experience, preferably in the investment industry

  • Securities licenses (e.g., SIE Exam, Series 7, 24 and 66), or obtained within 150 days of hire

  • High degree of attention to detail and thoroughness are essential for this role

  • Self-starter and excellent analytical skills

  • Ability to manage multiple priorities in a fast-paced, everchanging environment

  • Ability to create clear, convincing, well-organized presentations and communications

  • Detail-oriented with aptitude for identifying risk and capability to research complex problems and collaborate to create solutions

  • Ability to conduct research and provide management with proposed solutions

  • Strong investigative and analytical skills as well as problem-solving and critical-thinking skills

  • Strong sense of ethics, accountability, and judgment

  • Great listening and communication skills with an ability to nurture positive relationships

  • Excellent Word, PDF, Excel, and PowerPoint skills

  • Excellent analytical, research, and writing skills

  • Excellent interpersonal relationship skills

  • Excellent verbal and written communication skills and presentation skills

  • Excellent organizational skills with the ability to handle multiple projects with attention to detail

PREFERRED QUALIFICATIONS:

  • MBA, Juris Doctorate or other advanced degree

  • 2-5 years of experience in the financial services industry

  • Strong working knowledge and understanding of US securities laws and regulations, including Bank Secrecy Act (BSA), OFAC and FinCEN regulations

  • Anti-Money Laundering (AML) experience, experience with AML surveillance systems (i.e., Actimize) is a plus

  • CAMS certification

  • Experience at or interfacing with securities regulators, such as FINRA, SEC and the Securities Divisions of each state

  • Comprehensive understanding of mutual funds, annuities and/or advisory products

  • Strong project management skills

  • Experience with FINRA Gateway and/or WebCRD

FLSA status: This position is exempt (not eligible for overtime pay):

Yes

Our Benefits:

  • Day one health, dental, and vision insurance

  • 401(k) Plan with competitive employer match

  • Vacation, sick, holiday and volunteer time off

  • Life and disability insurance

  • Flexible Spending Account & Health Savings Account

  • Professional development

  • Tuition reimbursement

  • Company-sponsored social and philanthropy events

It has been and will continue to be the policy of Primerica, Inc., and its subsidiaries to be an Equal Opportunity Employer. We provide equal opportunity to all qualified individuals regardless of race, sex, color, religious creed, religion, national origin, citizenship status, age, disability, pregnancy, ancestry, military service or veteran status, genetic or carrier status, marital status, sexual orientation, or any classification protected by applicable federal, state or local laws.

At Primerica, we believe that diversity and inclusion are critical to our future and our mission – creating a foundation for a creative workplace that leads to innovation, growth, and profitability. Through a variety of programs and initiatives, we invest in each employee, seeking to ensure that our people are not only respected as individuals, but also truly valued for their unique perspectives.

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