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Chief Risk Officer

Knack Group

Job Description

Knack Group has been retained to identify a Chief Risk Officer for a high-growth, technology-enabled investment platform that provides wealth management professionals and their clients with access to alternative investments, private funds, and structured products.

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This is a newly created executive leadership role. Our client is establishing a formal second line of defense and is seeking a senior risk and compliance leader to design and lead the function, bringing together regulatory compliance, enterprise and operational risk, governance, controls, and resilience under a single leadership structure.

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The target operating model positions the business as the first line of defense, Risk and Compliance jointly as the second line, and Internal Audit as the third. This is a foundational appointment rather than stewardship of an established function. The successful candidate will build the framework, governance architecture, operating model, and team from a largely greenfield position. The early tenure will therefore be weighted toward design, implementation, and institutionalization rather than oversight of mature processes.

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The role reports directly to the Chief Financial Officer and will serve as a principal point of contact for executive leadership, the Board of Directors, and the Board-level Audit & Risk Committee. It carries significant visibility and direct influence over the firm's governance strategy, regulatory posture, and enterprise risk framework.

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A Juris Doctor (JD) degree is required for this mandate.

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Scope of responsibility

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Regulatory & Compliance Oversight

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  • Lead regulatory compliance across a multi-jurisdictional footprint spanning the United States, Canada, the United Kingdom, Europe, and Asia-Pacific, including support for expansion into new regulated markets
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  • Oversee regulatory requirements applicable to alternative investments, structured investments, registered funds, and private fund vehicles
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  • Provide oversight of registrations, licensing, exemptions, and ongoing obligations involving the SEC, FINRA, and relevant international regulatory authorities
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  • Develop and maintain scalable policies, procedures, controls, and training aligned with both regulatory expectations and commercial strategy
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  • Lead regulatory examinations, audits, and inquiries, serving as a senior liaison with regulators, outside counsel, and external advisers
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  • Maintain strong regulatory judgment across investment advisory, broker-dealer, fund, structured investment, and private markets activities
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Enterprise Risk & Governance

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  • Design, implement, and evolve the enterprise risk management framework across business lines and geographies
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  • Establish and maintain appropriate risk appetite, taxonomy, assessment, escalation, and reporting frameworks
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  • Lead risk oversight through governance forums, including the Board-level Audit & Risk Committee, executive risk committees, and operational risk working groups
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  • Own and enhance the enterprise risk register, Risk and Control Self-Assessments, risk appetite metrics, issue management, and incident management
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  • Deliver clear, decision-ready risk reporting and recommendations to senior leadership and the Board
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  • Embed consistent second-line challenge into strategic and commercial decision-making
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Controls, Assurance & Operational Resilience

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  • Strengthen internal controls in partnership with Finance, Technology, Legal, Operations, and other business functions, including IT general controls and ICFR
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  • Oversee SOC 2 audit programs across business lines, including auditor relationships, evidence collection, remediation, and control maturity
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  • Partner with Technology and Security leadership on platform, data protection, cyber, and information security risk
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  • Maintain robust business continuity and disaster recovery frameworks supported by regular testing
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  • Establish and oversee a centralized enterprise incident-management framework, including escalation protocols, response playbooks, and crisis communications
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  • Oversee physical security, life safety, emergency preparedness, and related business resilience programs
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Leadership & Team Development

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  • Lead, mentor, and develop global teams across Risk and Compliance
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  • Partner closely with Finance, Legal, Technology, Product, Operations, and business leadership
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  • Build a risk and compliance culture that supports commercial growth while maintaining disciplined governance
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  • Operate effectively at both strategic and detailed levels in a high-growth environment where senior leaders remain hands-on
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  • Serve as a credible, independent challenger to senior executives while maintaining strong business partnership
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Candidate requirements

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This mandate requires meaningful depth across both regulatory compliance and operational/enterprise risk. Candidates who have personally carried accountability across both disciplines will be prioritized.

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Essential

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  • Juris Doctor (JD) degree required
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  • Fifteen or more years of senior leadership experience across risk management, compliance, governance, or related second-line functions within financial services
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  • Demonstrated ownership of a regulatory compliance program within a registered financial institution, investment adviser, broker-dealer, asset manager, fund platform, or financial technology company
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  • Direct regulator engagement and personal accountability for regulatory examinations, inquiries, or remediation
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  • Demonstrated experience designing and operating an enterprise and/or operational risk framework within a complex organization
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  • Hands-on experience with risk appetite, Risk and Control Self-Assessments, issue management, incident management, and executive risk reporting
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  • Substantive command of U.S. securities regulation, including:
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  • Investment Advisers Act of 1940
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  • Investment Company Act of 1940
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  • Securities Act of 1933
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  • Securities Exchange Act of 1934
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  • FINRA requirements
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  • CFTC requirements where derivatives are in scope
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  • AML/KYC requirements, including FinCEN obligations
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  • Meaningful product exposure across one or more of the following:
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  • Alternative investments
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  • Private funds
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  • Registered investment advisers
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  • Broker-dealers
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  • Registered funds
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  • Structured investments
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  • Private markets
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  • The judgment, independence, and executive presence to constructively challenge senior leadership, chair senior risk committees, and represent the firm before the Board, regulators, and external stakeholders
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  • A hands-on leadership style and willingness to personally engage in the design and execution of the risk and compliance framework
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Preferred

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  • Professional certification such as FRM, CRCMP, CFA, CPA, or CAMS
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  • Familiarity with international regulatory frameworks including AIFMD and MiFID
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  • Experience within an organization operating under, or preparing for, public-company governance and reporting standards
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  • Experience building or materially transforming a second-line Risk and Compliance function
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  • Exposure to high-growth financial technology or investment-platform environments
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Relevant Candidate Backgrounds

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Incumbent Chief Risk Officer experience at a large institution is not required .

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Our client is equally interested in accomplished deputies and senior second-line leaders with a JD and significant regulatory compliance experience who have operated closely with a Chief Risk Officer, Chief Compliance Officer, or Chief Risk & Compliance Officer and are prepared to assume a full enterprise mandate.

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Relevant backgrounds may include:

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  • Deputy Chief Risk Officer
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  • Deputy Chief Compliance Officer
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  • Head of Risk & Compliance
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  • Head of Regulatory Risk
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  • Head of Compliance
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  • Head of Non-Financial Risk
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  • Head of Operational Risk
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  • Senior second-line leadership within private wealth, asset management, alternative investments, broker-dealer, registered investment adviser, registered fund, or structured investment businesses
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A Note on Alignment

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This search is specifically focused on candidates who combine securities and investment-management regulatory experience with broader enterprise and operational risk leadership .

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The mandate is less likely to align with backgrounds primarily concentrated in:

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  • Bank-prudential regulation, including Federal Reserve, OCC, FDIC, or CFPB oversight, without substantive securities, investment adviser, fund, or broker-dealer exposure
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  • A single risk discipline such as market risk, credit risk, or model risk without broader ownership across compliance, operational risk, governance, controls, regulatory engagement, and second-line framework development
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  • Pure legal or General Counsel backgrounds without meaningful ownership of an operating compliance and risk function
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  • Pure compliance backgrounds without meaningful operational or enterprise risk responsibility
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Candidates whose backgrounds are adjacent but not an exact match are still welcome to connect, as Knack Group supports a range of senior financial services mandates.

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