招聘
What You'll Do We’re seeking a highly motivated Field Supervisor 3 to join Principal Financial Group.
In this position, you will coordinate and monitor financial representatives, and investment advisors registered with Principal Securities, Inc (PSI).
You will carry out PSI’s Broker-Dealer and RIA supervision and surveillance.
Your duties ensure compliance and quality service.
Monitor registered representative and investment adviser activity using PSI supervision tools and platforms.
Support field and home‑office supervision programs and contribute to key oversight and transformation initiatives.
Serve as the customer point of contact for complaints and business‑conduct issues.
Conduct annual and ad‑hoc on‑site branch visits and complete assigned supervisory reviews.
Assist field leaders with 90‑day and annual advisor reviews and provide regular reporting on issues, concerns, and resolutions.
Review Monthly Compliance Reports and supporting documents, including check logs, trade blotters, gift/entertainment logs, and correspondence.
Review OBA/DBA disclosures and advertising/marketing submissions.
Conduct quarterly social media reviews and support exception and surveillance reporting.
Communicate and implement broker‑dealer and RIA supervision, surveillance, and monitoring expectations.
Support field offices and compliance teams during regulatory exams and branch audits.
Coordinate documentation for exams, audits, inquiries, and complaints.
Investigate and help resolve issues related to audit findings, surveillance exceptions, and regulatory inquiries.
Operating at the intersection of financial services and technology, Principal builds financial tools that help our customers live better lives.
We take pride in being a purpose-led firm, motivated by our mission to make financial security accessible to all.
Our mission, integrity, and customer focus have made us a trusted leader for more than 140 years!
Who You Are 5+ years of financial services industry experience with roles in Broker-Dealer/RIA supervision, compliance, or risk management.
Active Securities licenses: FINRA Series 7, 24, 53, 66 (63+65). FINRA Series 4 and Insurance licenses to be acquired within 12 months.
General knowledge of public and privately traded securities and managed account platforms.
Regulatory knowledge of Investment Adviser’s Act of 1940 and FINRA regulations.
Teammate who possesses great initiative, flexibility, judgment and provides indispensable service.
Must be able to prioritize and handle multiple tasks/deadlines simultaneously and be able to change priorities gracefully.
Superior written and verbal communication and public speaking skills.
Exceptional ability to follow instructions with minimal supervision.
Business travel as needed, up to 25%.
Salary: Range Information
Salary: ranges below reflect targeted base salaries.
Non-sales positions have the opportunity to participate in a bonus program.
Sales positions are eligible for sales incentives, and in some instances a bonus plan, whereby total compensation may far exceed base salary depending on individual performance.
Actual compensation for all roles will be based upon geographic location, work experience, education, licensure requirements and/or skill level and will be finalized at the time of offer.
Salary: Range (Non-Exempt expressed as hourly; Exempt expressed as yearly) $104400 - $171600 / year
Salary: Details The following locations are examples of market-specific salary ranges across different geographies.
Wichita, KS: $104,400 - $140,400 / year Des Moines, IA: $110,200 - 148,200 / year Dallas, TX: $116,000 - 156,000 / year Chicago, IL/Minneapolis, MN: $127,600 - $171,600 / year Time Off Program Flexible Time Off (FTO) is provided to salaried (exempt) employees and provides the opportunity to take time away from the office with pay for vacation, personal or short-term illness.
Employees don’t accrue a bank of time off under FTO and there is no set number of days provided.
Pension Eligible Yes:
Location: This role requires residency in the Midwest (ND, SD, MN, WI, NE, IA, IL, KS, MO, OK, AR, LA, or TX).
Work Authorization/Sponsorship At this time, we are not considering applicants who need any type of immigration sponsorship to work in the United States now or in the future.
This includes F1-OPT, F1-CPT, H-1B, TN, L-1, J-1, and others.
For more information about work authorization, please use the following links: Nonimmigrant Workers and Green Card for Employment-Based Immigrants Investment Ethical Guidelines Principal Asset Management roles require following an Investment Code of Ethics about personal and professional conduct and trading actions for you and your household.
These obligations might also extend to other roles in the organization.
Experience: Principal At Principal, we value connecting on both a personal and professional level.
Together, we’re imagining a more purpose-led future for financial services – and that starts with you.
Our success depends on the outstanding experiences, backgrounds, and talents of our employees.
And we support our employees the same way we support our customers: with comprehensive, competitive benefit offerings crafted to protect their physical, financial, and social well-being.
Check out our careers site to learn more about our purpose, values, and benefits.
Principal is an Equal Opportunity Employer All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or veteran status.
Posting Window We will accept applications for 3 full days following the Original Posting Date, after which the posting may remain open or be removed based upon applications received.
If we choose to post the job again, we will accept additional applications for at least 1 full day following the Most Recently Posted Date.
Please submit applications in a timely manner as there is no guarantee the posting will be available beyond the applicable deadline.
Original Posting Date 2/23/2026 Most Recently Posted Date 2/23/2026 Linked
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We’re seeking a highly motivated Field Supervisor 3 to join Principal Financial Group.
In this position, you will coordinate and monitor financial representatives, and investment advisors registered with Principal Securities, Inc (PSI).
You will carry out PSI’s Broker-Dealer and RIA supervision and surveillance.
Your duties ensure compliance and quality service.
Monitor registered representative and investment adviser activity using PSI supervision tools and platforms.
Support field and home‑office supervision programs and contribute to key oversight and transformation initiatives.
Serve as the customer point of contact for complaints and business‑conduct issues.
Conduct annual and ad‑hoc on‑site branch visits and complete assigned supervisory reviews.
Assist field leaders with 90‑day and annual advisor reviews and provide regular reporting on issues, concerns, and resolutions.
Review Monthly Compliance Reports and supporting documents, including check logs, trade blotters, gift/entertainment logs, and correspondence.
Review OBA/DBA disclosures and advertising/marketing submissions.
Conduct quarterly social media reviews and support exception and surveillance reporting.
Communicate and implement broker‑dealer and RIA supervision, surveillance, and monitoring expectations.
Support field offices and compliance teams during regulatory exams and branch audits.
Coordinate documentation for exams, audits, inquiries, and complaints.
Investigate and help resolve issues related to audit findings, surveillance exceptions, and regulatory inquiries.
Operating at the intersection of financial services and technology, Principal builds financial tools that help our customers live better lives.
We take pride in being a purpose-led firm, motivated by our mission to make financial security accessible to all.
Our mission, integrity, and customer focus have made us a trusted leader for more than 140 years!
5+ years of financial services industry experience with roles in Broker-Dealer/RIA supervision, compliance, or risk management.
Active Securities licenses: FINRA Series 7, 24, 53, 66 (63+65). FINRA Series 4 and Insurance licenses to be acquired within 12 months.
General knowledge of public and privately traded securities and managed account platforms.
Regulatory knowledge of Investment Adviser’s Act of 1940 and FINRA regulations.
Teammate who possesses great initiative, flexibility, judgment and provides indispensable service.
Must be able to prioritize and handle multiple tasks/deadlines simultaneously and be able to change priorities gracefully.
Superior written and verbal communication and public speaking skills.
Exceptional ability to follow instructions with minimal supervision.
Business travel as needed, up to 25%.
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About Principal

Principal
PublicPrincipal is a global investment management and insurance company providing retirement services, asset management, and insurance solutions. The company serves millions of customers worldwide through employer-sponsored retirement plans and individual investment products.
10,001+
Employees
Harrogate
Headquarters
Reviews
3.1
6 reviews
Work Life Balance
2.0
Compensation
4.0
Culture
1.8
Career
2.0
Management
1.5
25%
Recommend to a Friend
Pros
Good pay and benefits
Supportive assistant management
Quality software/codebase
Cons
Poor management and leadership
Micromanagement
Limited career advancement
Salary Ranges
2 data points
L6/Principal
Principal/L7
L6/Principal · Staff/Principal Backend SWE
1 reports
$710,000
total / year
Base
$270,000
Stock
$440,000
Bonus
-
$710,000
$710,000
Interview Experience
9 interviews
Difficulty
3.4
/ 5
Duration
14-28 weeks
Offer Rate
22%
Experience
Positive 11%
Neutral 33%
Negative 56%
Interview Process
1
Application Review
2
Recruiter Screen
3
Phone Screen
4
Technical Interview
5
System Design Interview
6
Behavioral Interview
7
Final Round
Common Questions
Technical Knowledge
System Design
Behavioral/STAR
Past Experience
Culture Fit
News & Buzz
Principal Financial Group’s 2026 Outlook Takes Center Stage Ahead of Earnings - AD HOC NEWS
Source: AD HOC NEWS
News
·
5w ago
Principal Real Estate Income Fund Announces Notification of Sources of Distribution - Business Wire
Source: Business Wire
News
·
5w ago
News | Lee & Associates of Michigan announces new principal of firm - CoStar
Source: CoStar
News
·
5w ago
AE Wealth Management LLC Boosts Stock Position in Principal Financial Group, Inc. $PFG - MarketBeat
Source: MarketBeat
News
·
5w ago