Lead compliance strategy at a global investment firm with a dynamic team. Drive impactful initiatives ensuring regulatory adherence across jurisdictions. Foster professional growth in a collaborative, innovative environment.
Chief Compliance Officer
in Financial Services PermanentJob Detail
Job Description
Chief Compliance Officer Overview
- Lead the compliance function at a dynamic investment advisory firm, ensuring adherence to regulatory standards and fostering a culture of integrity.
- Oversee an established compliance program with a global presence, supporting offices in Europe, Asia, and the US.
- Collaborate with senior management to align compliance strategies with organizational goals and regulatory requirements.
- Provide leadership to a dedicated compliance team, ensuring consistent practices across jurisdictions.
- Develop and refine compliance policies to address evolving business activities and regulatory landscapes.
- Promote awareness and understanding of compliance obligations through training and education programs.
- Drive initiatives to enhance processes, controls, and the overall compliance infrastructure.
- Ensure the firm's compliance framework aligns with international standards and local requirements.
Chief Compliance Officer Key Responsibilities & Duties
- Lead the firm's compliance program, maintaining and enhancing policies addressing investment strategies and regulatory obligations.
- Monitor regulatory changes affecting the investment advisory industry and update policies accordingly.
- Oversee regulatory filings, disclosures, and interactions with regulatory bodies such as the SEC.
- Conduct compliance risk assessments and audits, identifying vulnerabilities and implementing corrective actions.
- Manage material non-public information (MNPI) and trading controls across investment strategies.
- Advise senior management on compliance matters, providing pragmatic guidance and fostering collaboration.
- Coordinate compliance activities across international offices, ensuring consistent practices and local adherence.
- Develop and deliver global compliance training programs to promote understanding of obligations and expectations.
- Chair the Compliance Committee, overseeing the program's effectiveness and promoting ethical conduct.
Chief Compliance Officer Job Requirements
- Bachelor’s degree in a relevant field; JD with bar admission is advantageous.
- Minimum 8 years of compliance experience in investment advisory or financial services; 20 years preferred.
- Proven leadership experience in compliance roles, with multi-jurisdictional oversight preferred.
- In-depth knowledge of SEC regulations and the Investment Advisers Act of 1940.
- Strong analytical, organizational, and communication skills, with attention to detail and ability to prioritize.
- Ability to foster a culture of accountability and integrity within the compliance team.
- Experience with compliance considerations across public and private investment strategies.
- Capability to develop and deliver compliance training programs globally.
- Proactive, strategic, and solution-oriented approach with high integrity and professionalism.
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