Compliance Officer
Landing Point
Compliance Officer (New York, NY): Our client, an established institutional alternative investment manager, is looking to add a Compliance Officer to its New York team. This is a broad-based role with significant exposure across the U.S. compliance program, including direct interaction with investment professionals, research teams, and senior leadership.
Highlights
- The firm has tripled AUM over the past three years and continues to expand across new investment strategies
- Serve as the most senior compliance professional based in the New York office, with meaningful exposure to senior decision-makers
- Broad responsibility across the compliance program with significant opportunity to expand the scope of the role over time
Responsibilities
- Help oversee and support the firm’s U.S. compliance program
- Provide day-to-day compliance advice to investment and research professionals
- Participate in the annual Rule 206(4)-7 review, forensic testing and ongoing monitoring
- Draft, enhance and implement compliance policies and procedures
- Support all aspects of the Code of Ethics, including personal trading, gifts and entertainment, outside activities, conflicts and political contributions
- Monitor regulatory developments and assist with implementation of applicable changes
- Prepare and review regulatory filings, including Form ADV, Form PF, 13F, 13H, Blue Sky, NFA/CFTC and FCA-related filings
- Review marketing materials, presentations, newsletters and DDQs
- Assist with pre- and post-trade compliance reviews
- Monitor side-letter and investment-management-agreement obligations
- Support regulatory examinations, compliance training and books and records requirements
- Conduct compliance due diligence on vendors, brokers, research providers and other third parties
- Investigate and escalate potential compliance issues and assist with other ad hoc matters
Qualifications
- Bachelor’s degree with a strong academic record
- 5+ years of relevant compliance experience within a hedge fund, investment adviser, compliance consulting/vendor environment or regulatory organization
- Working knowledge of U.S. and U.K. securities regulations
- Familiarity with SEC, NFA, CFTC and relevant exchange requirements
- Strong organizational, analytical and critical-thinking skills
- Proactive, detail-oriented and comfortable managing multiple priorities
- Ability to work independently while collaborating effectively across the organization
- Strong project-management skills, professionalism and discretion
$100k - $200k
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