Compliance Manager
Cyperus Group LLC
We are seeking an experienced compliance professional to lead the compliance program for a specialized third-party capital management business within a global financial services organization.
Reporting to the Chief Compliance Officer, this role will oversee legal, regulatory, and compliance risks associated with investment management activities in a SOX environment. The successful candidate will partner closely with business and functional leaders to ensure strong governance, regulatory compliance, and effective controls across multiple adviser entities.
Key Responsibilities
- Develop and maintain compliance policies, procedures, and controls for investment management activities.
- Oversee regulatory and compliance filings and support regulatory inquiries.
- Monitor legal and regulatory developments and assess their impact on the business.
- Conduct risk assessments and risk-based compliance testing; recommend and implement enhancements.
- Support securities offering, governance, investor, and operational due diligence requirements.
- Develop and deliver compliance training.
- Maintain required compliance and corporate records.
- Partner with Legal, Compliance, Risk, and business teams globally to promote consistent and effective practices.
- Serve as a trusted compliance advisor to senior business stakeholders.
Qualifications
- 6+ years of compliance experience with an SEC-registered investment adviser, exempt reporting adviser, and/or regulated investment business.
- Strong knowledge of securities and asset management regulations.
- Familiarity with the Investment Advisers Act and related securities, investment company, and commodities regulations.
- Strong understanding of compliance risk and ability to develop pragmatic solutions.
- Excellent communication, collaboration, and stakeholder management skills.
- Strong attention to detail and sound business judgment.
- Bachelor's degree required; advanced or professional qualifications are a plus.
$160k - $180k
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