Compliance Jobs

Chief Compliance Officer, Registered Investment Advisor, United States (Remote / Hybrid Opportunity Available)

By August 9, 2023 No Comments

Chief Compliance Officer
Registered Investment Advisor
United States (Remote / Hybrid Opportunity Available)

We are representing an established investment advisor in their search for a Chief Compliance Officer.

Why Join Us:
• Privately held SEC registered firm with opportunity for significant growth in the next 1-2 years
• Established and robust compliance program in place
• Opportunity to participate in compliance strategy and leadership across several other group businesses, including Venture Capital and Broker Dealer

• Reporting to the Founding Partner, you will oversee all aspects of the compliance program, including managing compliance workflows, regulatory filings and regulatory engagement, assisting in maintaining a culture of compliance and ensuring policies, procedures, systems and controls are in place that support regulatory requirements
• Monitor the effectiveness of established compliance processes, policies, procedures and controls and recommend and implement enhancements to comply with applicable laws and other regulatory standards
• Determine controls and metrics that enable operations in a manner that will meet compliance obligations
• Maintain and nurture proactive and productive relationships with regulators, including SEC and FINRA
• Assist regulators, auditors and business management with regulatory exams and inquiries
• Manage and coordinate all communications with regulatory bodies including preparation of regulatory filings, ensuring filings and reporting are accurate and completed in accordance with SEC requirements on timing
• Ensure that appropriate regulatory processes and controls are established and documented
• Provide compliance support for new products and business initiatives
• Identify, evaluate and analyze the impact of regulatory issues and new regulatory developments; advise Executive Committee regarding the impact on the firm and appropriate enhancements to the compliance program
• Provide guidance to all departments regarding compliance issues and implementation of new compliance requirements with respect to regulatory and contract language
• Identify, develop, organize, and deliver necessary compliance related training and communications
• Conduct compliance audits; develop and implement corrective action plans as necessary
• Review customer inquiries, issues, and complaints; investigate where appropriate and recommend resolutions
• Maintain and implement vendor due diligence, privacy policies, and cybersecurity related procedures
• Maintaining firm’s code of ethics system including review of transaction alerts and employee trading activity; track gift and entertainment reporting; review of political contribution pre-clearance requests; and quarterly and annual employee compliance certifications
• Identify potential conflicts of interest and provide interpretive guidance and recommend resolutions
• Oversee marketing activities, recordkeeping, domestic and foreign regulatory reporting, oversight of custody issues and reporting, maintaining compliance manuals, supervising compliance audits, and ongoing assessment of conflicts of interest
• Develop a comprehensive testing plan and conduct periodic testing programs to document and assess the adequacy of the firm’s policies and procedures

• Demonstrable experience managing compliance at a Registered Investment Advisor, with strong knowledge of establishing and maintaining a 40 Act compliance program
• Essential Education: Bachelor’s Degree
• You will have a proven operational compliance focus, with demonstrable exposure to working independently in a hands-on capacity

Application Process for Chief Compliance Officer:
Qualified professionals are to submit Resume to Steve Harrison at:

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

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