JPMorgan Wealth Management - Vice President - Supervisory Manager - San Francisco, CA
Company: JPMorgan Chase & Co.
Location: San Francisco
Posted on: April 2, 2026
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Job Description:
Description At J.P. Morgan Advisors we have been helping
high-net-worth individuals and families build and manage their
wealth for more than 50 years. Led by an exclusive group of
Investment Professionals throughout the United States, J.P. Morgan
Advisors offers clients a broad suite of transactional, wealth
management and investment advisory services. Our Investment
Professionals-among the most experienced and creative in the
industry-excel at leveraging the vast resources of one of the
world's leading global financial institutions on behalf of our
clients. As a Supervisory Manager in J.P. Morgan Advisors, you will
exhibit leadership and operational expertise when performing
designated supervisory duties to oversee a territory of Financial
Advisors. You will be responsible for managing complex, high risk
escalations from end-to-end and outreach to executive level
stakeholders. Job responsibilities Monitor investment activities of
registered and non-registered employees of J.P. Morgan Advisors
Review middle markets, institutional, and retail customer account
activity, sales practices, suitability, documents, marketing
material and customers' statements to ensure compliance with
various regulatory and legal requirements Monitor the trading
practices of Advisors with respect to regulatory requirements and
internal policy Assist in the on/off boarding of J.P. Morgan
Advisors staff Review client inquiries, issues, and complaints and
complete a thorough investigation and provide resolution. This
involves Compliance, Legal, Portfolio Management Risk Management &
Control along with Senior Management in the process of reaching an
appropriate resolution Serve as point of contact for resolution of
any questions or issues that may occur during the course of a
business day from the various oversight groups. Be able to provide
clear, concise, and timely resolution to these issues as they arise
Provide policy and procedural training to new employees, assist
with continuing education requirements, and provide special
training as warranted on specific topics. Assist Compliance in the
dissemination of information relating to changes in policy and
regulatory rules. Discuss Compliance and new product lines with
sales personnel Act as the main point contact for internal
examinations conducted by Compliance and Internal Audit. This
includes representing management in demonstrating adherence to
internal policies and procedures, as well as maintaining and
providing all necessary documentation in accordance with internal
examiners' requests Resolve order errors including identifying
circumstances, taking market action when necessary to resolve the
error, and completing the error reporting and then assigning
responsibilities for the errors as necessary Review client accounts
as outlined by procedures; follow up on issues or make client
contact as warranted and in accordance with supervisory guidelines
and maintain these records of the review process Confirm that
written consent of the Office of the Secretary is obtained before
employees engage in outside speaking engagements; approve lectures
or interviews prior to activity and maintain a log of the activity.
Approve personal securities transactions for regional employees as
required by firm policy and review and resolve personal trading
policy violations with Compliance and Regional Director as required
Required qualifications, capabilities, and skills 7 years of
experience in the securities / investment industry Licenses
required to perform all job duties associated with the role: FINRA
Series 7, 66 (63/65), 9/10 (4,24,53), appropriate State Life &
Health Insurance license A valid and active Series 4 and
appropriate State Insurance licenses are required or must be
obtained within 90 days of starting in the role as a condition of
employment Possess a competent level of knowledge of relevant
securities rules, regulations, guidelines, securities products and
industry practices. Ability to provide clear, concise and timely
resolution to issues. Demonstrate strong critical thinking,
analytical research and quantitative skills. Strong written and
verbal communications skills, including an ability to communicate
with all levels of management. Possess excellent time management
skills. Proven judgment and problem-resolution skills Ability to
understand new investment products, Advisor compensation plans,
firm wide policies and procedures to conduct reviews Ability to
build relationships across business functions to obtain necessary
information to conduct reviews Preferred qualifications,
capabilities, and skills Bachelor’s Degree preferred Experience as
a Supervisory or Compliance professional preferred Possess an
advanced knowledge of FINRA, MSRB and SEC rules and regulations
Experience working in an environment alongside Advisors
preferred
Keywords: JPMorgan Chase & Co., San Ramon , JPMorgan Wealth Management - Vice President - Supervisory Manager - San Francisco, CA, Accounting, Auditing , San Francisco, California