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Manage Your Securities Industry Career

Manage Your Securities Industry Career

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Overview

Throughout your securities industry career, FINRA, other regulatory organizations and your employer collect and maintain a variety of information. Learn about all phases of your career in the securities industry, from considering becoming registered to taking exams to obligations when you leave the industry.

For Current Registered Persons

Individuals who are currently registered or employed with a firm should work with their firm’s compliance department to make sure that they are properly registered, provide their firm with timely updates to their record and understand their obligations as a registered person.

This section will help you find information about:

  • the requirements for taking qualifying exams;
  • continuing education (CE);
  • keeping your record current;
  • guidance on the proper conduct of a registered person; and
  • information on your responsibilities to your firm and customers.

Keeping Your Record Current

Qualifications and Testing

Continuing Education (CE)

For Former Registered Persons

When you terminate your registration with FINRA, you remain subject to FINRA’s jurisdiction for at least two years. For example, you may be asked to provide information, documentation or to testify on the record during a FINRA examination or investigative process. 

This section will help you find information about:

  • your responsibilities as a former registered person, including how to dispute information provided by your prior employer;
  • the requirements you have after leaving your firm or the industry; and
  • FINRA’s Maintaining Qualifications Program (MQP) that allows eligible individuals to maintain their qualifications for up to five years.

Reviewing and Updating Your Information with FINRA

The Maintaining Qualifications Program (MQP)

Considering a Securities Industry Career?

The securities industry offers a variety of career options. Individuals who are interested in entering the finance and securities industries can jumpstart their career without being associated with a broker-dealer by taking the Securities Industry Essentials® (SIE®) Exam. 

This section will help you find information about:

  • the SIE exam, which allows prospective securities industry professionals to showcase their industry knowledge without being associated with a firm; and
  • enrolling in Financial Industry Networking Directory (FIND)™, which looks to connect individuals with subscribed FINRA member firms that are recruiting for full-time employment and internship positions.

The Securities Industry Essentials (SIE) Exam

Financial Industry Networking Directory (FIND)

Careers and Outreach

The financial and securities industries offer a variety of career options for individuals, including front-, middle- and back-office as well as other specialized roles such as compliance.

Below are examples of job categories and titles in the financial industry.

Job CategoryTitle
Compliance Compliance testing, risk management, regulatory reporting, compliance monitoring, product specialist, compliance surveillance, compliance reporting, compliance examiner
Investment banking Investment banker
Mergers and acquisitions Equity trader, fixed income trader, options trader, proprietary trader, quantitative analyst, market maker
Operations Back-office operations, middle-office operations, operations professional
Relationship managementClient services associate, investor relations
Research Research analyst
Sales Equity sales, institutional sales, fixed income sales, variable annuities sales, mutual fund sales, options sales, municipal sales, sales assistant, customer service analyst

Outreach Activities

FINRA engages with academic institutions, trade associations, and various participants in the financial services industry to promote awareness of the Securities Industry Essentials® (SIE®) Exam to individuals who are interested in exploring career opportunities in the financial services industry.

To connect with FINRA about opportunities for your organization related to the SIE, email [email protected]

SIE Voucher Program for Schools

In some instances, to support and develop a talent pipeline of individuals interested in pursuing a career in the securities industry, FINRA will offer vouchers to academic institutions and nonprofit organizations that offer training programs or courses that set a goal of passing the SIE exam. If you would like more information or to request vouchers from this program, please email [email protected].

Additional Outreach

Established in 2003, the FINRA Investor Education Foundation empowers Americans with the knowledge, skills and tools to make sound financial decisions throughout life. To learn more about about being regulated by FINRA, view the “What It Means to Be Regulated by FINRA” page.

Need Help?

If you are currently registered with a FINRA member firm, you should first work with your firm (your direct supervisor or compliance department) to resolve any issues that arise. However, if you have further questions, please contact the FINRA Support Center at (301) 590-6500.