Compliance Associate
Dynamics Executive Search
We are seeking a detail-oriented and collaborative Compliance Associate to support a broad range of investment and employee compliance activities within a dynamic financial services environment. This role will partner with Compliance, Legal, Operations, Human Resources, Risk, and business teams to help maintain effective compliance programs, monitor regulatory requirements, and support a strong culture of compliance across the organization. The ideal candidate has 2–5 years of compliance or regulatory experience within the financial services industry and is eager to develop expertise across multiple compliance disciplines, including investment management, broker-dealer, and employee compliance. Key Responsibilities Support the administration and ongoing enhancement of the firm's compliance program in accordance with applicable regulatory requirements and internal policies. Conduct compliance monitoring, surveillance, and testing activities, including electronic communications reviews, personal trading surveillance, investment guideline monitoring, and other risk-based compliance reviews. Assist with employee compliance matters, including personal securities transactions, Code of Ethics administration, outside business activities, private investments, political contributions, gifts and entertainment, and employee certifications. Support employee onboarding and offboarding processes, including regulatory registrations, disclosures, licensing, and related compliance requirements. Assist with regulatory registration activities, including processing regulatory filings, maintaining registration records, and coordinating licensing examinations and continuing education requirements. Prepare compliance reports, dashboards, certifications, and documentation for senior management, committees, and Boards of Directors, as appropriate. Assist with the administration of compliance programs related to investment advisers, registered funds, and broker-dealer activities. Support regulatory filings, examinations, inquiries, and internal or external audits. Draft, maintain, and update compliance policies, procedures, and related documentation. Assist with compliance training initiatives, including new hire orientation, annual training programs, and targeted regulatory education. Support control room activities, restricted and watch list administration, information barrier monitoring, and conflict-of-interest reviews, as applicable. Collaborate with internal business partners and external service providers to resolve compliance matters and promote adherence to regulatory and fiduciary obligations. Participate in regulatory change management initiatives, system implementations, testing, and other strategic compliance projects. Perform additional compliance-related responsibilities and special projects as assigned. Qualifications Bachelor's degree in Finance, Business, Accounting, Economics, or a related field. 2–5 years of compliance, legal, regulatory, audit, or risk experience within the financial services industry. Experience supporting investment advisers, asset managers, broker-dealers, registered funds, ETFs, or other investment products is preferred. Working knowledge of federal securities regulations and compliance practices. Familiarity with employee compliance programs, Code of Ethics administration, personal trading, regulatory registrations, surveillance, or investment compliance is preferred. Experience with regulatory systems, compliance monitoring platforms, portfolio compliance systems, or FINRA registration tools is a plus. FINRA Series 7, Series 24, or other relevant licenses are preferred or willingness to obtain as required. Strong analytical, organizational, and problem-solving skills with exceptional attention to detail. Excellent written, verbal, and interpersonal communication skills. Ability to manage multiple priorities, work independently, and collaborate effectively across cross-functional teams. High level of professionalism, integrity, discretion, and sound judgment when handling confidential information. Proficiency in Microsoft Office applications, particularly Excel; experience with compliance technology platforms is a plus. #J-18808-Ljbffr
$100k - $145k
...service investment bank and asset management firm focusing on technology and healthcare growth, is currently looking to hire a Compliance Associate with 1 - 5 years of compliance experience within the asset management, mutual fund or hedge fund industry. The Compliance...SuggestedFull timeCurrently hiringRemote workFlexible hours- ...Alternative Asset Manager seeks Associate to join their Compliance team in New York. Responsibilities Compliance Monitoring & Oversight Support the execution of the firm’s compliance monitoring and testing program. Perform periodic reviews of employee activities including...Suggested
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$40 per hour
...Monday – Friday | Remote: USA (New York) | Start Date: 3/24/25 | Pay Rate: $40 hourly ) Lawyers on Demand (LOD) is seeking a Compliance Associate to support one of our global clients in delivering the highest level of service to internal and external clients alike. We...SuggestedHourly payContract workTemporary workWork at officeRemote workMonday to FridayFlexible hoursShift work$100k - $155k
...Overview Position: Compliance Associate. Overview: A top Investment Management firm in NYC is searching for a Compliance Associate. Must have: College degree plus 3-5+ years of Financial Services Industry / Compliance experience. Specifically - at least some of those...SuggestedFull time- ...Compliance Analyst/Associate (New York, NY): Our client, a well-established investment manager, is seeking to add a Compliance Associate / Analyst to its team. This person will support a broad range of day-to-day compliance responsibilities across personal trading, employee...
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...service investment bank and asset management firm focusing on technology and healthcare growth, is currently looking to hire a Compliance Associate with 1 -3 years of compliance experience. The Compliance Associate will assist in all aspects of broker-dealer compliance as...Currently hiringFlexible hours$110k - $150k
...Title: Compliance Analyst / Compliance Associate Firm: Global Private Equity Firm ($75B+) Location: New York, NY or San Francisco, CA Compensation Range: $110,000 – $150,000 base salary (dependent on experience) plus generous year end bonus and 100% benefits Job Overview...- ...Compliance Associate (New York, NY): Our client, the asset management business (over $50B in assets across a variety of strategies) of a diversified financial services firm, is hiring skilled compliance professionals to join its Legal and Compliance team to help oversee...Full time
- ...Responsibilities Manage day-to-day operations of the compliance program, including maintaining policies, procedures, and controls Administer the Code of Ethics program, including personal trading, holdings certifications, and periodic acknowledgments Conduct ongoing communications...
$120k - $130k
This position supports the US CIB Corporate Compliance team in governance, compliance monitoring, regulatory tracking, and reporting activities. The role ensures the accuracy, consistency, and timely preparation of materials for internal committees, as well as reporting...Work at officeLocal area- Landing Point, located in New York, NY, is seeking a Compliance Analyst/Associate to join a rapidly growing investment management firm. This role is ideal for highly organized and detail-oriented candidates seeking to own compliance workflows. The successful candidate...
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New York Life is seeking a Suitability Compliance Senior Associate in New York, NY. In this hybrid role, you will conduct reviews of new and replacement sales for life insurance, annuities, and mutual funds. Your expertise will support compliance standards while assisting...$120k - $175k
Senior Compliance Associate, Registered Funds (New York, NY): Our client, a leading diversified asset management firm with over $50B in AUM, is seeking a high-caliber Compliance Associate to support its growing platform. The firm oversees a broad suite of investment products...- Quant Blueprint LLC is seeking individuals to develop sophisticated investment models for financial analysis while applying quantitative techniques. Candidates will use machine learning on various datasets and work closely with engineers to test their theories. The role...
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Overview Job Overview - Compliance Associate (Private Equity) Compensation: $120,000 - $150,000/year base ($250,000 All-In) Location: New York, NY Schedule: Monday to Friday (Hybrid). Atlantic Group is hiring a Compliance Associate (Private Equity) in New York, NY for...Work at officeMonday to Friday- J.P. Morgan Asset Management is seeking a Junior Associate for the US Corporate Services team within Private Markets. You will support day-to-day administration, governance coordination for a portfolio of U.S. entities, and assist the VP with prioritization, guidance and...
- A leading aerospace defense company seeks an Ethics and Compliance Associate to work remotely for 12 months. Responsibilities include providing guidance on labor mischarging and compliance in government contracts, conducting audits, and investigating allegations. The ideal...Remote job
$120k - $160k
...$120,000.00/yr - $160,000.00/yr Legal.io is working with a leading aerospace defense company who is seeking a Ethics and Compliance Associate with experience handling labor mischarging and government contracts. This is a full-time position (40 hours / week) for 12 months...Full timeRemote work$250k - $415k
A leading legal recruitment firm is looking for associates in law school, 2020 or senior year, with at least 2 years of experience in advising... ...companies on U.S. Bank Secrecy Act and Anti-Money Laundering Compliance. The position offers an annual compensation between $250,000...- ...Derivatives Clearing Organization (DCO). That registration comes with real regulatory obligations, and we take them seriously. The Compliance team is responsible for making sure we meet those obligations without slowing down a product that moves fast and operates at...Contract workFor contractorsShift work
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AlphaSights in New York seeks a Legal & Compliance Associate for its global Client Protection team. This role involves monitoring projects, implementing compliance policies, and guiding delivery teams to ensure client service excellence. Ideal candidates will have a Bachelor...Work from homeFlexible hours- Dynamics Executive Search seeks an Associate for their Credit Compliance team in New York. This role involves overseeing trading activity, monitoring investment compliance, and collaborating closely with cross-functional teams. Applicants should have 2+ years of compliance...
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$110k - $150k
A leading global private equity firm is looking for a Compliance Analyst/Associate based in New York or San Francisco. This role involves supporting compliance programs, conducting internal testing, and managing regulatory filings. Ideal candidates have 3-5 years of compliance...
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