Lead compliance initiatives at a dynamic investment firm, ensuring regulatory excellence. Develop innovative programs in a hybrid work environment. Collaborate with top-tier professionals in a strategic leadership role.
Vice President Or Senior Vice President Of Compliance
in Financial Services PermanentJob Detail
Job Description
Overview
- Lead compliance initiatives for a dynamic investment firm, ensuring adherence to regulatory standards and industry best practices.
- Develop and implement comprehensive compliance programs tailored to organizational needs and strategic goals.
- Collaborate with cross-functional teams to support regulatory compliance and operational excellence.
- Oversee regulatory filings, ensuring accuracy, timeliness, and compliance with applicable laws.
- Conduct compliance training sessions to foster a culture of integrity and accountability.
- Manage governance frameworks for innovative investment strategies, including technology-driven approaches.
- Coordinate with external counsel to address legal and compliance matters effectively.
- Prepare for regulatory audits and examinations, ensuring organizational readiness and compliance.
Key Responsibilities & Duties
- Develop, maintain, and enhance compliance policies, procedures, and testing frameworks for the firm.
- Lead the preparation and submission of regulatory filings, including Form ADV amendments.
- Oversee surveillance activities, including personal trading and electronic communications reviews.
- Review marketing materials and client communications for regulatory compliance and accuracy.
- Support governance for AI/ML-driven investment strategies, ensuring compliance and risk mitigation.
- Collaborate with external legal counsel to address complex regulatory interpretations.
- Deliver compliance training programs to enhance team awareness and adherence to standards.
- Prepare for and manage regulatory audits, ensuring thorough documentation and compliance readiness.
Job Requirements
- Bachelor’s degree required; advanced degree or JD preferred.
- Minimum 8 years of compliance experience at an SEC-registered investment adviser.
- Expertise in the Investment Advisers Act of 1940 and SEC regulations.
- Proven ability to build and enhance compliance programs in dynamic environments.
- Proficiency with compliance tools such as Bloomberg and ComplySci.
- Experience with governance for technology-driven investment strategies preferred.
- Strong analytical, organizational, and communication skills.
- Ability to work independently and collaboratively across diverse teams.
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