Buyside Compliance

in Financial Services
  • New York City, New York View on Map
  • Salary: $140,000.00 - $160,000.00
Permanent

Job Detail

  • Experience Level Mid Level
  • Degree Type Bachelor of Arts (BA)
  • Employment Full Time
  • Working Type Remote
  • Job Reference 0000017537
  • Salary Type Annually
  • Industry Asset Management;Hedge Fund;Private Equity;Investment Management;Management Consulting
  • Selling Points

    Lead impactful compliance initiatives for diverse investment clients in a dynamic environment. Gain exposure to hedge funds, private equity, and venture capital strategies. Advance your career in a growing firm.

Job Description

Overview

  • Provide compliance support to diverse investment clients, including hedge funds, private equity firms, and venture capital managers.
  • Draft, update, and maintain compliance policies and procedures aligned with SEC regulations and industry standards.
  • Conduct compliance testing, trade surveillance, and monitoring activities to ensure regulatory adherence.
  • Assist with regulatory filings and coordinate responses to inquiries and examinations.
  • Oversee Code of Ethics administration, including certifications, disclosures, and monitoring restricted lists.
  • Provide guidance on AML/KYC processes and investor onboarding requirements.
  • Review marketing materials and investor communications for compliance with applicable regulations.
  • Stay updated on regulatory developments impacting alternative investment industries.

Key Responsibilities & Duties

  • Manage compliance programs for registered and exempt investment advisers across multiple client engagements.
  • Draft, update, and maintain compliance policies and procedures in line with evolving standards.
  • Conduct compliance testing, including trade surveillance and personal trading reviews.
  • Assist with regulatory filings such as Form ADV, Form PF, and Blue Sky filings.
  • Support Code of Ethics administration and monitor employee certifications and disclosures.
  • Provide AML/KYC guidance and support investor onboarding and due diligence processes.
  • Review marketing materials for compliance with SEC Marketing Rule and other regulations.
  • Coordinate with stakeholders to address compliance matters and implement best practices.

Job Requirements

  • Bachelor of Arts (BA) degree required, preferably in a related field.
  • 5–10 years of experience in investment adviser compliance, ideally within consulting or asset management.
  • Strong knowledge of SEC regulations, including the Investment Advisers Act and Marketing Rule.
  • Experience with compliance systems such as ComplySci, Sentinel, or Bloomberg AIM preferred.
  • Excellent written and verbal communication skills with a focus on detail and risk management.
  • Ability to manage multiple client relationships in a dynamic environment.
  • Familiarity with NFA and Futures compliance is highly preferred.
  • Clear path for growth into senior advisory or leadership roles.
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