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Compliance Analyst

$75k - $85k

TA Realty

Job Description The Compliance Analyst will report to the Compliance Manager and, indirectly, to the Chief Compliance Officer (CCO). The role supports the execution and ongoing enhancement of TA Realty’s compliance program, encompassing regulatory compliance, internal policies, corporate governance, and risk management. The Analyst collaborates closely with the compliance team and cross‑functional partners across Investor Relations, Accounting, Technology, and Operations. Essential Duties And Responsibilities Compliance Program Support: Support the development, implementation, ongoing enhancement, and monitoring of compliance policies and procedures to ensure regulatory alignment. Coordinate with internal teams throughout the firm to enhance current compliance procedures. Assist in developing and conducting firm‑wide training pertaining to the policies and procedures. Perform compliance reviews and testing procedures as directed by the Compliance Manager and/or CCO. Foster a corporate culture of compliance. Regulatory Monitoring & Filings: Assist with regulatory filings and requests (e.g., Form ADV, Form PF, Form SHL, Form SLT, etc.). Monitor regulatory developments and assess impact on the firm. Review compliance‑related alerts from TA Realty’s legal counsel and industry resources and communicate relevant information to the Compliance Team. Compliance Platform Management: Support administration of the firm’s compliance software (Comply) including periodic certifications and monitoring of personal trading, gifts and entertainment, outside business activity, and political contributions. Maintain the firm’s side letter management platform (Ontra Insights). Cross‑Functional Support: Monitor new‑hire onboarding and departing employee offboarding requirements to ensure completion. Assist with internal audit (JSOX) requests from TA Realty’s parent company. Assist the CCO or Compliance Manager with additional duties, including regulatory research and ad‑hoc compliance projects. Qualifications Bachelor’s Degree in a related field required, with demonstrated strong academic performance and extracurricular involvement. One to three years of compliance, audit, legal or related experience. Compliance, legal and/or public accounting background preferred. Familiarity with or working knowledge of the Investment Advisers Act of 1940. Regulatory environment experience (SEC, FINRA, CFTC/NFA and ERISA) a plus. Private equity fund compliance a plus. Highly organized with strong attention to detail. Excellent verbal and written communication skills. Strong project management skills with the ability to manage multiple and sometimes conflicting demands with short deadlines. Excellent interpersonal skills with a collaborative work style; extremely flexible, adaptable, a self‑starter with the ability to work individually and in a team environment. Demonstrates intellectual curiosity and sound professional skepticism. Ability to communicate clearly with persons at all levels of the firm (including senior management) on sensitive matters and handle confidential information discreetly. Ability to identify, investigate, and report on various compliance‑related matters and determine a corrective course of action with appropriate input from the Compliance Manager or CCO. Proactive management skills and the ability to manage projects independently and to conclusion. EQUALITY EMPLOYMENT OPPORTUNITY TA Realty LLC is an Equal Opportunity Employer committed to creating a diverse and inclusive company culture. TA Realty does not discriminate against candidates and employees on the basis of race, religion, national origin, age, veteran status, sexual orientation, or any other protected status under law. The Pay Range For This Role Is 75,000 - 85,000 USD per year (Boston) #J-18808-Ljbffr

Vacancy posted 4 days ago
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