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Compliance Jobs

Compliance Officer – Investment Management – Dallas TX

By September 30, 2026 No Comments

Compliance Officer

Investment Management

Dallas, TX – Uptown area (Hybrid – four days a week in-office)

 

Why Join Us:

  • Opportunity to join an established and rapidly growing investment management business with a national footprint
  • Play a critical role in the growth and development of the compliance program
  • Award-winning modern offices and a positive and collaborative working culture

Responsibilities:

  • Reporting to the Chief Compliance Officer, the Compliance Officer supports the compliance program of a dually registered broker-dealer and investment adviser
  • This role is responsible for ensuring adherence to regulatory requirements and internal policies, supporting day-to-day compliance operations, assisting with regulatory audits, and internal reviews
  • Monitor and interpret FINRA, SEC, and state regulatory developments and assess their impact on the firm
  • Conduct communications and trade surveillance reviews to ensure compliance with firm policies and regulatory requirements
  • Provide compliance training and guidance to business units and registered representatives
  • Assist with updating firm policies and procedures manuals
  • Assist with the review of marketing materials
  • Assist, as needed, with regulatory audits by FINRA, SEC, and state insurance and securities regulators
  • Collaborate with legal, operations, and supervisory teams to address compliance issues and implement corrective actions
  • Provide cross-functional support to different teams within the department based on shifting priorities and business needs

Requirements:

  • FINRA Series 7 and 63 required; Series 24 highly desirable
  • Essential education: Bachelor’s degree
  • Preferable education: Advanced degree
  • Several years of directly related experience in compliance, regulatory frameworks, policies and procedures
  • Strong knowledge of rules, laws and regulations relevant to securities compliance and communications, including FINRA, SEC and state laws, rules, and regulations for broker-dealers, investment advisers, and insurance companies

 

Application Process for Compliance Officer – Investment Management:

Qualified professionals should submit their resume to Steve Harrison: steve@conselium.com

Published by Conselium Executive Search, the global leader in compliance search.  

Frequently Asked Questions

A Pharmaceutical Compliance Director leads compliance strategy, advises business leaders, manages risks, and ensures adherence to healthcare regulations and ethical standards.

Most employers require a bachelor's degree, leadership experience, and at least eight years of compliance, legal, regulatory, or healthcare compliance expertise.

Strong compliance leadership helps organizations reduce regulatory risk, support ethical business practices, and maintain stakeholder trust across global operations.

Key skills include regulatory knowledge, risk assessment, team leadership, stakeholder communication, strategic planning, and cross-functional collaboration.

Responsibilities include compliance guidance, program oversight, policy implementation, training support, risk management, and collaboration with legal and regulatory teams.

Many senior pharmaceutical compliance positions offer relocation assistance for qualified candidates when on-site leadership is required.

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