Lead impactful compliance initiatives for a dynamic investment management firm. Collaborate globally to align compliance strategies and best practices. Enhance regulatory adherence while driving organizational efficiency.
Asset Management Compliance Director
in Financial Services PermanentJob Detail
Job Description
Overview
- Lead compliance initiatives for SEC-registered investment advisers, ensuring adherence to regulatory standards and internal policies.
- Develop and maintain compliance programs, policies, and procedures aligned with industry regulations and best practices.
- Collaborate with global compliance teams to ensure consistency in compliance strategies and practices.
- Provide guidance to business leaders and employees on compliance-related matters and regulatory requirements.
- Prepare and review regulatory filings, including Form 13F, Form ADVs, Form PFs, and Form CPO-PQR.
- Support regulatory exams, inquiries, audits, and conduct periodic reviews to assess compliance controls.
- Oversee compliance functions related to employee activities, training, and registration processes.
- Facilitate annual compliance reviews and prepare materials for oversight committees.
- Identify and mitigate compliance risks associated with new fund launches and ongoing fund maintenance.
Key Responsibilities & Duties
- Assist the Chief Compliance Officer in developing and monitoring compliance programs for SEC-registered investment advisers.
- Lead core compliance functions, including employee-related compliance, personal trading, and conflicts of interest.
- Develop, implement, and maintain policies and procedures aligned with regulatory requirements.
- Collaborate with global compliance teams to ensure alignment of initiatives and best practices.
- Prepare and review regulatory filings, including SEC and NFA forms.
- Support regulatory exams, inquiries, and audits, ensuring compliance controls are effective.
- Review marketing materials and client communications under tight deadlines.
- Conduct compliance audits and business process reviews to ensure adherence to rules and policies.
- Prepare materials for oversight committees, including best execution and valuation.
Job Requirements
- Bachelor’s degree in law, finance, business management, or a related field.
- Minimum of 5 years of experience in compliance roles within SEC-registered investment advisers or hedge funds.
- Strong knowledge of SEC and NFA requirements and filings.
- Experience managing or overseeing compliance programs effectively.
- Excellent time management and prioritization skills to meet deadlines.
- Ability to consult and collaborate with individuals at all organizational levels.
- Strong analytical, critical thinking, and decision-making skills.
- Proficiency in preparing regulatory filings and supporting audits and inquiries.
- Exceptional verbal and written communication skills.
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