Compliance Officer
$38.46 - $62.5 per hourNeuberger Berman
Neuberger is a private, independent, employee-owned investment manager, offering a wide range of active strategies across equity, fixed income, private equity, real estate, and hedge funds to institutions, advisors, and individual investors worldwide. Founded on a culture of collaboration, rigorous fundamental research, and long-term thinking, the firm is committed to delivering compelling investment results and shaping a workplace where diverse perspectives and independent thought drive better outcomes for clients. The Compliance Officer will work regularly with the CCO–Fixed Income and other compliance and legal staff in developing and implementing policies and procedures for a registered investment adviser, with a specific emphasis on the Investment Advisers Act of 1940 and related rules and regulations.ResponsibilitiesAssist in the analysis, development, and implementation of policies and procedures to ensure compliance with various regulations, including the Investment Advisers Act of 1940 and the Investment Company Act of 1940 rules and regulationsReview, analyze, and respond to regulatory inquiries, including those relating to the SEC and NFA/CFTCReview marketing materials, including advertising, sales literature, correspondence, and RFP/RFI/DDQsManage ad hoc and strategic projects, including development of surveillance reports and other technology initiativesLiaise with senior business personnel regarding special projects and regulatory initiatives; provide guidance and analysis of rules and/or firm policies as appropriateAssist the CCO in the development and administration of Advisers Act Rule 206(4)-7 compliance programs; help define and develop risk parameters, implement the programs, and review final reportsConduct periodic audits of compliance policies and procedures pursuant to Rule 206(4)-7 of the Investment Advisers Act and prepare written documentation of results for submission to the CCOAssist the CCO in the annual review and amendments to Form ADV and other applicable regulatory reporting requirementsProvide compliance guidance relating to new product development initiatives, including identifying potential compliance risks and ensuring that compliance processes and systems are developed and implementedCoordinate or assist in regulatory examinations and prepare information and responses to various requestsHelp develop and conduct training and education for staff relating to policies and procedures and any amendmentsQualificationsDemonstrated industry experience, including compliance experience relating to the Investment Advisers Act of 1940 and related rules and regulationsStrong preference for a graduate degree in law or businessMust be accustomed to working independently, leading large-scale projects to completion, and functioning as a constructive member of a teamMust work well in a team structure involving both business and support functions; experience dealing with regulatory changes and policy implementations relating to such changesExperience with portfolio management systems and/or compliance monitoring systems for monitoring and reporting account activity; knowledge of compliance tools such as Aladdin or similar portfolio compliance monitoring systems a plusDemonstrated analytical ability, strong written and oral communication skillsExcellent interpersonal skills; ability to interact with all levels of staff, including senior managementRegulatory experience with the SEC a plusKnowledge of CFTC and NFA rules and regulations a plusKnowledge of Investment Company Act of 1940 and regulations a plusBroad experience with fixed-income markets and securities products preferableMust be a detail-oriented Compliance OfficerLI-MB1LI-Hybrid Applicants must be authorized and have the right to work in the country where the role is located without the need for current or future sponsorship.Compensation DetailsThe salary range for this role is $80,000-$130,000. This is the lowest to highest salary we in good faith believe we would pay for this role at the time of this posting. We may ultimately pay more or less than the posted range, and the range may be modified in the future. This range is only applicable for jobs to be performed in the job posting location. An employee’s pay position within the salary range will be based on several factors including, but limited to, relevant education, qualifications, certifications, experience, skills, seniority, geographic location, business sector, performance, shift, travel requirements, sales or revenue-based metrics, market benchmarking data, any collective bargaining agreements, and business or organizational needs. This job is also eligible for a discretionary bonus, which, along with base salary and retirement contributions, is part of our total comprehensive package. We offer a comprehensive package of benefits including paid time off, medical/dental/vision insurance, retirement, life insurance and other benefits to eligible employees.Note: No amount of pay is considered to be wages or compensation until such amount is earned, vested, and determinable. The amount and availability of any bonus, commission, production, or any other form of compensation that are allocable to a particular employee remains in the Company's sole discretion unless and until paid and may be modified at the Company’s sole discretion, consistent with the law.Neuberger is an equal opportunity employer. The Firm and its affiliates do not discriminate in employment because of race, creed, national origin, religion, age, color, sex, marital status, sexual orientation, gender identity, disability, citizenship status or protected veteran status, or any other characteristic protected by local, state, or federal laws, rules, or regulations. If you would like to contact us regarding the accessibility of our website or need assistance completing the application process, please contact View email address on job-api.jobget.com about the Applicant Privacy Notice.SummaryLocation: IL01 - ChicagoType: Full time
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...traders, banks, hedge funds and asset managers. With more than 40 offices worldwide, the group has over 2,300 employees across Europe,... ...visit In the ever-evolving financial landscape, Compliance has become increasingly complex. Marex must navigate a wide range...Full timeWork at officeImmediate startWorldwide- ...Regulatory Affairs Level III (Senior Specialist) position is responsible for global product registrations and ensuring regulatory compliance in the design, manufacturing, and sales of medical devices (including Class I and II devices, software as a medical device, and...
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...service conveniently at their fingertips, anytime and anywhere. The Compliance Specialist will help create and champion a culture of... ...our New York, Chicago, Westlake, TX, Denver, and Menlo Park, CA office(s), with in-person attendance expected at least 3 days per week...Work at officeFlexible hoursShift work3 days per week- ...of updates.Perform additional duties as assigned.Knowledge, Skills & Abilities:Knowledge of collections, healthcare terminology and office procedures.Attention to detail with the ability to identify/resolve problems and document the outcome.Strong concise, clear written...Work at office
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...enforcement, privacy & cybersecurity, and business restructuring.Ropes & Gray is an equal opportunity employer. Overview The Compliance & Data Science Consultant supports the Lab’s compliance advisory and data analytics service lines by combining substantive...- ...Sinai Chicago is seeking an experienced IRB Coordinator to manage regulatory administration for MS H-IRB, ensuring compliance with federal rules and institutional policies. The role includes overseeing protocol submissions, approvals, and correspondence using the Cayuse...
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