• Sales Supervision Manager

    Jackson National Life Insurance CompanyNashville, TN 37230

    Job #2696185106

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    Job Purpose

    This position will serve as the Delegate Office of Supervisory Jurisdiction (OSJ) Branch Supervisor for Jackson as required by FINRA and the SEC. The Sales Supervision Manager will work closely with the Chief Compliance Officer and registered representatives on matters of annuity sales referred from Registered Investment Advisors and alternative distribution methods. The responsibilities of this position include principal review of new account applications, compliance required forms, annuity transactions, and correspondence to and from representatives. Additional responsibilities include assisting with the administration of the firm's audit program and conducting due diligence reviews on RIA firms.

    Essential Job Responsibilities

    • Provides direct supervision of registered representatives for broker-dealer and insurance agency functions; provides supervision, guidance, advice, and training.

    • Principal review of new account documentation to ensure adherence with applicable suitability and/or best interest requirements.

    • Reviews compliance required forms.

    • Reviews annuity transactions.

    • Reviews incoming and outgoing representative correspondence.

    • Maintains required records and written procedures for supervisory controls performed.

    • Refers to and provides input on Compliance regulatory violations, sales practice improprieties, or actual/potential violations of Company policies and/or regulatory requirements, as needed.

    • Reviews monthly compliance reports for accuracy.

    • Monitors Representative employee activities such as outside business activities, social media posts, and personal securities activities.

    • Partners with Compliance to define and implement supervisory policies, procedures, and related controls.

    • Reviews Trade Blotters.

    • Performs due diligence reviews of third party distribution partners.

    • Assists with firm and branch audits.

    • Assists in monthly training/facilitation of staff meetings.

    • Assists in reviewing various surveillance reports.

    • Works with team to define suitability rules and alerts within the workflow system.

    Other Duties

    • Assists with the assessment of workflow and technology platform design to identify opportunities for better risk management, greater efficiency, and reduced processing times.

    • Performs other duties and/or projects as assigned.

    Knowledge, Skills & Abilities

    • Extensive knowledge of FINRA, SEC, and state insurance regulations.

    • In depth knowledge of insurance products, securities products and investment portfolios.

    • Working knowledge of regulatory environment related to annuity sales.

    • Strong verbal and written communication skills.

    • Working knowledge of issues related to independent Registered Investment Advisors.

    • Ability to analyze data and information and create positive solutions for the firm.

    • Ability to work effectively with little supervision or direction.

    • Ability to accept change, be flexible, and be willing to learn and adapt in an ever-changing environment.

    • Ability to work efficiently and effectively in a high pressure, highly visible environment.

    • Ability to maintain confidentiality while working effectively in a team environment.

    • Strong analytical, problem solving and decision-making skills.

    • Working knowledge of Microsoft Office software.

    • Ability to travel up to 10% of the time.

    Qualifications

    • Bachelor's Degree with a focus on business, finance, economics, or accounting or equivalent experience required.

    • 5+ years of experience with suitability and annuity transactions required.

    • 3+ years of experience with compliance or sales supervision, supervisory/manager capacity preferred.

    • Experience writing and monitoring compliance policies, processes and procedures required.

    • FINRA Series 6 or 7 required upon hire.

    • FINRA Series 26 or 24 or 9/10 required within 60 Days.

    • State insurance license required within 60 Days.

    We don't just accept difference - we celebrate it, we support it, and we thrive on it for the benefit of our employees, our products and our community. Jackson is proud to be an equal opportunity workplace. The Company subscribes to and endorses federal and state laws and regulations relating to equal employment opportunity for all persons without regard to race, color, religion, gender, age, national origin, legally-recognized disability, marital status, legally-protected medical condition, citizenship, ancestry, height, weight, sexual orientation, veteran status, or any other factor not related to the needs of the job. The Company is committed to a policy of equal opportunity. Company facilities and campuses are tobacco-free environments.

    At Jackson, our employees are empowered to bring a fresh perspective, confront new challenges, and define their own career paths. We value the unique perspectives and innovative ideas that come from our employees' diverse backgrounds.

    Jackson is the marketing name for Jackson National Life Insurance Company (Home Office: Lansing, Michigan) and Jackson National Life Insurance Company of New York (Home Office: Purchase, New York). Jackson National Asset Management, LLC (JNAM) located in Chicago, Illinois, is an SEC-registered investment adviser and Jackson subsidiary.

    Annuities are distributed by Jackson National Life Distributors LLC, Member FINRA.

    Jackson companies offer an outstanding benefits package including competitive pay, bonuses, comprehensive health insurance benefits, a matching 401(k) retirement plan, adoption assistance, education matching gift program and dependent tuition program. Online applications requested. Contact ~~~ for alternate formats for accommodation.

    To learn more about Jackson's financial strength and results, visit ~~~ (~~~) .