J.P. Morgan Private Bank - Client Service Supervisory Manager - Newark, DE
Company: JPMorganChase
Location: Newark
Posted on: April 1, 2026
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Job Description:
Description Make a meaningful impact in a highly trusted part of
the Private Bank. Join a team that safeguards clients and advisors
by strengthening supervisory oversight and operational excellence.
You’ll partner across Client Service, Operations, Compliance, and
Legal to resolve issues, improve processes, and prepare branches
for exams. Your expertise will keep our brokerage activities
compliant, and our clients protected. Grow your career while
helping us raise the bar on supervision. As a Private Bank
Supervisory Manager, you oversee brokerage-related supervision for
U.S. Client Service locations and serve as a central escalation
point. You partner with us to resolve trade errors, guide
registration matters, prepare branch exams, and drive process
improvements. Together, we ensure adherence to regulatory
requirements and internal standards while supporting employees and
clients with timely, risk-based decisions. Job responsibilities
Oversee brokerage supervision for Client Service locations and act
as the primary contact for supervisory inquiries Partner with
Market Supervisory Managers and Operations to resolve trade errors
and close error claims Process cancel/corrects, assign error
responsibility, and complete error reporting Guide Client Service
Management on employee registration matters; produce and review
registration and location reports Prepare Monthly Supervision
Reviews and lead monthly meetings with Client Service Branch Office
Managers Support Compliance Annual Branch Exams and coordinate
documentation and readiness across eight branches Prepare for
internal audits, Compliance Testing, and external regulatory exams;
demonstrate adherence to policy Serve as the escalation point for
situations involving Senior Clients or vulnerable clients Review
and approve gifts to employees; monitor E-Comm violations, LinkedIn
changes via Hearsay, and outside interests Analyze outlier trade
and PAD violation reports; identify trends and recommend corrective
actions Assist with surveillance inquiries, brokerage complaints,
and cross-functional requests from Control and Operations Required
qualifications, capabilities, and skills Minimum 2 years of
experience in supervisory management, client service, controls, or
compliance within a brokerage or wealth management firm
Demonstrated risk-based decision-making with a strong sense of
urgency Excellent communication, listening, and stakeholder
management skills across all levels Proven ability to assess
complex issues and drive timely, durable solutions In-depth
knowledge of brokerage regulatory requirements and best practices
Strong organization, follow-up, and time management skills in a
dynamic environment Ability to analyze trends, identify gaps, and
implement process improvements Proficiency with Microsoft Office
(Excel, Word, PowerPoint); strong systems navigation Effective
collaboration across Client Service, Operations, Compliance, Legal,
and other partners Active FINRA Series 7 and 66 (or 63 and 65)
Active FINRA Series 9 and 10 and Series 4 (required to perform full
job duties; must be obtained within 120 days if not already held)
Preferred qualifications, capabilities, and skills Bachelor’s
degree Experience preparing for internal audits, compliance
testing, or regulatory exams Hands-on experience with trade error
resolution, cancel/correct processing, and error reporting
Familiarity with registration reporting and CRD-related processes
Experience handling escalations involving senior clients or older
vulnerable clients Exposure to Hearsay monitoring, E-Comm reviews,
and outside interest oversight Track record of leading process
improvements in supervisory or client service functions
Keywords: JPMorganChase, Hoboken , J.P. Morgan Private Bank - Client Service Supervisory Manager - Newark, DE, Accounting, Auditing , Newark, New Jersey