Responsibilities include: monitoring, updating, and enforcing compliance policies and procedures (i.e., the Compliance Manual, Form ADV, investor files, brokerage arrangements and other government filings); testing and documenting compliance policies; monitoring key federal and state regulatory developments; and preparing for and responding to SEC inquiries and audits.
We are looking for someone with at least 2-4 years of experience as a compliance professional at a mid- or large-sized investment advisory firm which is registered with the SEC and has successfully been through SEC audit(s); a solid understanding of the contents, requirements and operations of the Investment Advisers Act of 1940, the Investment Company Act of 1940 and the Securities Act of 1933; outstanding organizational and communication skills; comfort with and an understanding of how to interact with government officials; and an undergraduate degree from a top university. Prior enforcement experience at the SEC or other SRO experience (NASD, NYSE) is preferred. MUST HAVE REGULATED INVESTMENT ADVISOR EXPERIENCE!