Legal Counsel & Head of Compliance ($90,000 - $130,000)
Company: Guerra Wealth Advisors
Location: Miami
Posted on: February 19, 2026
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Job Description:
Job Description Job Description Meet Guerra Wealth Advisors At
Guerra Wealth Advisors, we're on a mission to redefine retirement
planning and elevate how families experience holistic wealth
management. With over three decades of excellence serving clients
in South Florida and nationwide, we've built a boutique firm that
blends world-class financial expertise with a deeply personal
touch. We don't just advise — we educate, empower, and guide
families toward financial confidence. Behind every successful
advisory relationship is a commitment to doing things the right
way, protecting clients, and operating with uncompromising
integrity. If you're a legal professional or senior compliance
leader who thrives on navigating complex regulations, advising
executive leadership, and serving as the ethical backbone of a
growing financial services firm, Guerra Wealth Advisors is calling
your name. Protect what matters. Guide with integrity. Lead with
compliance excellence. Role: Legal Counsel & Head of Compliance The
Legal Counsel / General Counsel & Head of Compliance serves as the
firm’s senior legal authority and regulatory guardian, leading all
legal and compliance efforts across Guerra Wealth Advisors. This
individual acts as a strategic advisor to executive leadership
while ensuring the firm operates with full regulatory compliance,
risk discipline, and fiduciary excellence. This role is ideal for
an attorney with securities, investment advisory, or financial
services experience who also brings hands-on compliance leadership.
You will oversee RIA and insurance compliance, manage regulatory
relationships, advise on legal risk, and build scalable compliance
infrastructure to support firm growth. You are not just enforcing
rules — you are shaping a culture of ethical decision-making and
protecting the long-term future of the firm. Responsibilities Serve
as the firm’s General Counsel and Chief Compliance Officer (or
equivalent) overseeing all legal and regulatory matters. Lead all
RIA and Insurance Agency compliance functions, ensuring adherence
to SEC, state, and insurance regulations. Advise executive
leadership on legal, regulatory, and risk-related matters impacting
firm strategy and operations. Draft, review, and negotiate client
agreements, disclosures, contracts, vendor agreements, and internal
policies. Develop, implement, and maintain comprehensive compliance
policies, procedures, and internal controls. Prepare, file, and
maintain Form ADV (Parts 1, 2A, 2B), amendments, and regulatory
disclosures. Manage SEC, state, and insurance regulatory
examinations, audits, inquiries, and deficiency responses. Oversee
advertising, marketing, and public communications to ensure
compliance with SEC marketing rules. Conduct annual compliance
reviews, risk assessments, and testing of policy effectiveness.
Monitor fiduciary obligations, conflicts of interest, custody
rules, best execution, and books and records requirements.
Investigate, document, and remediate compliance incidents, errors,
and client complaints. Lead firm-wide compliance training and
education for advisors, leadership, and staff. Coordinate with
outside counsel, compliance consultants, and regulatory bodies as
needed. Conduct legal and compliance due diligence on vendors,
partners, and service providers. Stay current on evolving
regulations, enforcement trends, and industry best practices.
Requirements Juris Doctor (JD) from an accredited law school. 3–7
years of experience in securities law, investment advisory,
financial services compliance, or related legal practice. Direct
experience with RIA compliance under the Investment Advisers Act of
1940. Series 65 or Series 66 required (or ability to obtain within
90 days). Strong working knowledge of SEC rules, state regulations,
fiduciary standards, and insurance compliance. Experience managing
regulatory examinations, audits, and regulator communications.
Ability to translate complex legal and regulatory requirements into
practical business guidance. Exceptional written, analytical, and
verbal communication skills. High attention to detail with strong
organizational and risk management capabilities. Prior experience
serving as CCO, Deputy CCO, or in-house counsel for an RIA is
strongly preferred. What We Are Expecting Consistent, proactive
regulatory compliance with no material examination deficiencies.
Clear legal and compliance guidance that supports firm growth while
protecting clients. Strong, trusted partnership with executive
leadership and advisory teams. Timely, accurate regulatory filings
and documentation. A firm-wide culture where compliance is
understood, respected, and embedded into daily operations.
Professional, confident management of regulator and examiner
relationships. Scalable legal and compliance frameworks that
support long-term growth. Schedule Full-time role based in Miami,
FL. Standard business hours with flexibility during regulatory
filings, examinations, and critical deadlines. Compensation
$100,000–$130,000 Annually (Based on experience, credentials, and
scope) Competitive base salary Performance-based bonus
opportunities Growth potential as the firm expands legal and
compliance infrastructure Benefits Competitive salary with annual
performance reviews 401(k) with company match Health, vision, and
dental insurance options 20 PTO days (vacation, sick, floating
holidays, paid holidays, birthday PTO) Sponsored CLE, compliance
certifications, and continuing education Conference attendance and
professional development opportunities Access to personal financial
planning services Support for advanced certifications and
specialized training Long-term career growth as the firm continues
to scale Culture of integrity, accountability, and continuous
improvement Guerra Wealth Advisors Core Values These values guide
every decision we make: Always Be Learning – Growth is constant.
Curiosity and improvement never stop. Your Words Matter – Clear,
thoughtful communication builds trust. All for One, One for All –
Collaboration over ego. Shared success. Take Ownership &
Accountability – Own outcomes. Follow through. Do the Right Thing –
Integrity above convenience, always. If you're ready to serve as
the legal and ethical compass of a growing wealth management firm —
protecting clients, guiding leadership, and leading compliance with
confidence — apply today and help uphold the highest standards at
Guerra Wealth Advisors. Powered by JazzHR kUEJDOLJCA
Keywords: Guerra Wealth Advisors, Palm Beach , Legal Counsel & Head of Compliance ($90,000 - $130,000), Legal , Miami, Florida