Compliance Officer
$135k - $145kFull-time
The HT Group
Compliance Officer
Reporting directly to the Chief Compliance Officer, this individual will perform ongoing compliance reviews and surveillance, support regulatory initiatives, and provide compliance guidance across investment services and business operations. The role will have particular exposure to wealth management, portfolio and asset management, alternative investments, and pooled investment products . This is a hands-on opportunity for an experienced compliance professional who can independently identify regulatory issues, exercise sound judgment, and partner effectively with business leaders in a sophisticated investment environment.
Key Responsibilities
Location: Houston/Downtown Area / On-Site
Compensation: $135,000 - $145,000 Base + Discretionary Bonus/Solid Benefits
Employment Type: Full-Time
Reporting directly to the Chief Compliance Officer, this individual will perform ongoing compliance reviews and surveillance, support regulatory initiatives, and provide compliance guidance across investment services and business operations. The role will have particular exposure to wealth management, portfolio and asset management, alternative investments, and pooled investment products . This is a hands-on opportunity for an experienced compliance professional who can independently identify regulatory issues, exercise sound judgment, and partner effectively with business leaders in a sophisticated investment environment.
Key Responsibilities
- Develop and conduct regulatory compliance testing and surveillance to ensure adherence to investment adviser requirements.
- Monitor and analyze applicable laws, regulations, regulatory developments, and industry best practices.
- Support daily compliance activities related to the registered investment adviser business, including portfolio management, asset management, asset valuation, and client reporting.
- Review and approve client management agreements and alternative investment activity.
- Review offering documents associated with pooled investment vehicles and separately managed accounts (SMAs).
- Support investor contract management and oversight of client service obligations.
- Administer and monitor the firm's Code of Ethics.
- Conduct compliance oversight and due diligence of third-party sub-advisers and vendors.
- Review electronic communications and social media activity for regulatory compliance.
- Maintain and update supervisory procedures, compliance policies, and related documentation.
- Respond to regulatory and compliance inquiries from marketing, operations, and other business functions.
- Assist with the annual review of compliance policies and procedures pursuant to Rule 206(4)-7 .
- Support SEC examinations and other regulatory inquiries.
- Provide ongoing support to the Chief Compliance Officer and assist with special compliance projects as needed.
- Prior experience in a senior compliance role within a registered investment adviser (RIA) .
- Experience supporting wealth management, private equity, pooled investment products, or a comparable SEC regulatory environment .
- Strong knowledge of the Investment Advisers Act of 1940 and other applicable U.S. federal securities laws.
- Experience with regulatory compliance testing, surveillance, policies, and procedures.
- Strong analytical skills with the ability to identify issues and exercise sound judgment.
- Excellent written, verbal, and interpersonal communication skills.
- Strong attention to detail and a high level of accountability.
- Ability to prioritize competing responsibilities and consistently meet deadlines.
- Strong organizational and documentation skills, including the ability to track compliance issues and recommendations.
- Collaborative approach with the ability to work effectively across business functions.
Vacancy posted 7 days ago
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