Developing and implementing customized compliance policies and procedures across a diverse range of clients Reviewing marketing materials for compliance with the Advisers Act and FINRA regulations Conducting testing and surveillance of clients’ compliance controls Developing and presenting compliance trainings Conducting Rule 206(4)-7 annual reviews and producing an annual review report Conducting annual testing of FINRA rules, including Rule 3120 and Rule 3130 Assisting with FINRA new membership applications Managing regulatory filings including Form ADV, Form PF, Form BD, and FINRA filings (U4, U5)
Bachelor’s degree required, legal degree or MBA is a plus Either: 8 years or more serving in a compliance role in-house with a registered investment adviser, private fund manager, or broker-dealer; or 7 years or more serving as a regulatory compliance consultant; or 7 years or more serving as a securities compliance examiner with the SEC or FINRA; or Some combination of the listed experience above
Compliance experience with AML and/or NFA/CFTC a plus but not required. Excellent verbal and written communication skills Strong time management, multi-tasking, and prioritization skills The ability to work independently to complete assignments and manage multiple responsibilities The desire to be a part of and a contributor to a diverse team locally and globally Candidates must have an active Series 7 and 24 license
Healthcare Coverage: Comprehensive medical, dental, and vision plans. Time Off and Leave Policies: Generous paid time off (PTO), paid company holidays, generous parental and family leave. Protective Insurances: Life insurance, short- and long-term disability coverage, and accident protection. Compensation and Rewards: Competitive salary structures, performance-based incentives, and merit-based compensation reviews. Retirement Plans: 401(k) plans with company matching.
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