Vice President Or Senior Vice President Of Compliance

in Financial Services
  • New York, New York View on Map
  • Salary: $150,000.00 - $165,000.00
Permanent

Job Detail

  • Experience Level Director
  • Degree Type Bachelor of Arts (BA)
  • Employment Full Time
  • Working Type Hybrid
  • Job Reference 0000018573
  • Salary Type Annually
  • Industry Asset Management
  • Selling Points

    Drive compliance leadership at a dynamic asset management firm, ensuring regulatory excellence. Develop innovative compliance programs in a hybrid work environment. Collaborate with top-tier professionals in a growth-focused role.

Job Description

Overview

  • Lead compliance efforts for a public-markets asset management firm, ensuring adherence to SEC regulations and industry standards.
  • Design and implement compliance programs, policies, and procedures tailored to the firm's operational needs.
  • Collaborate with investment and management teams to support regulatory and operational compliance requirements.
  • Oversee regulatory filings, including Form ADV amendments, ensuring accuracy and timeliness.
  • Conduct compliance training and onboarding for new hires, fostering a culture of compliance.
  • Support governance and disclosure controls for AI/ML-driven investment strategies and related processes.
  • Coordinate with external counsel and manage legal and compliance documentation effectively.
  • Prepare for and support regulatory examinations and audits, ensuring readiness and compliance.

Key Responsibilities & Duties

  • Lead the preparation and filing of regulatory documents, including Form ADV and amendments.
  • Develop and maintain compliance policies, procedures, and testing frameworks for the firm.
  • Oversee personal trading surveillance and electronic communications reviews under the firm's Code of Ethics.
  • Review marketing materials, RFPs, DDQs, and client communications for regulatory compliance.
  • Support AI/ML governance, including model governance, vendor due diligence, and conflict identification.
  • Coordinate with external counsel on legal and compliance issues, providing regulatory interpretation.
  • Deliver compliance training and conduct onboarding sessions for new employees.
  • Prepare for regulatory examinations and audits, ensuring compliance readiness and documentation accuracy.

Job Requirements

  • Bachelor’s degree required; JD or advanced degree preferred.
  • 10+ years of compliance experience at an SEC-registered investment adviser focused on public markets.
  • Strong knowledge of the Investment Advisers Act of 1940 and SEC regulatory requirements.
  • Experience in building and enhancing compliance programs in early-stage environments.
  • Proficiency with compliance surveillance tools such as Bloomberg and ComplySci.
  • Exposure to AI/ML governance or compliance for technology-driven investment strategies preferred.
  • Excellent communication, organizational, and analytical skills.
  • Ability to work independently and collaborate effectively with teams at all levels.
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