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Homeโ€บCompaniesโ€บvmysmartprosโ€บCompliance Analyst, Customer Complaints
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Compliance Analyst, Customer Complaints

๐Ÿ“LOCATIONAll India
๐Ÿ“ˆEXPERIENCE2 to 6 Yrs
๐Ÿ•˜TYPEFull time
๐ŸฅIndustryBFSI
๐Ÿ—“POSTED1 Aug 2026

01Overview

About the position Osaic is seeking an organized, detailed and energetic Compliance Analyst to join our Customer Complaint team. This individual will play a critical role in ensuring regulatory compliance, safeguarding firm standards, and delivering fair resolutions for clients. The ideal candidate will be a strong collaborator who can thrive in a fast-paced environment, demonstrates intellectual curiosity, and has a desire to learn and explore new things. Responsibilities Document and resolve customer complaints in a timely manner, ensuring compliance with Firm and industry regulations. Collaborate with Compliance, Supervision, Legal and Operations teams to ensure proper handling of customer complaints. Work with advisors and supervisors to gather information and maintain accurate records of complaints, investigations, and resolutions. Work with customers to gather additional information to ensure matters are handled in an objective and fair manner. Escalate significant issues to senior management and coordinate referrals to appropriate departments. Complete all required filings in accordance with regulatory rules (i.e. 4530(d) and U4/U5 amendment filings) and within the appropriate timeframes. Perform other duties as assigned Requirements At least two years of experience in a similar capacity Excellent communication skills, both written and verbal, for effective interaction with customers and stakeholders at all levels. Ability to interpret and apply FINRA Rules and Notices to Members, Compliance notices, and other publications impacting broker/dealer operations. Working knowledge of FINRA Rule 4530 and Form U4/U5. Familiarity with the retail brokerage business and common investment products including mutual funds, variable annuities, alternative investments, stocks, and bonds. Skilled in building collaborative relationships with business partners to obtain information and achieve objectives. Must be organized, detail-oriented, investigative and have the ability to handle a high volume of work independently. Nice-to-haves At least two years of industry experience with a broker/dealer, in a compliance or Legal/ Regulatory role. FINRA Series 7 and Series 24. Insurance license (life/health). Prior Customer Complaint handling experience strongly preferred. Benefits health, vision, dental insurance 401k vacation and sick time volunteer days Apply To this Job Company : Advisor Group Salary : Full-time .

02What you'll need

Experience
2 to 6 Yrs
Employment Type
Full time
Programming languages
complianceregulatory compliancecustomer complaintscollaborationcommunication skillsinvestment productsrelationship buildingFINRA Rulesbrokerdealer operationsorganizational skills

03About VMYSMARTPROS

BFSIIndustry
Full timeEmployment Type
All IndiaLocation
Not Disclosed ยท salary hidden by employer
2 to 6 Yrs ยท All India
Applications are reviewed directly by the hiring team.
Role Snapshot
Work ModeNot specified
Visa SponsorshipNot specified
RelocationNot specified
Job TypeFull time
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