This newly created role will partner with the Chief Compliance Officer (CCO) & General Counsel (GC) and will be responsible for administering and running the compliance program while providing tailored compliance support to the different product lines. The role will suit a highly motivated, entrepreneurial professional with an appetite to learn and a desire to work in a fast paced international environment.
The ideal candidate must have experience in the private/hedge fund compliance field and/or broker dealer compliance field and/or at a regulator handling examinations and regulatory issues. Knowledge of the Investment Advisers Act of 1940 is required with CFTC/FINRA/NFA compliance experience a plus.
We are seeking a compliance professional who is seeking to take a step up in responsibility. You will need to possess a strong academic profile, excellent organizational & communication skills and the ability to work with moderate supervision.
Compensation is competitive and commensurate with industry experience.
Please apply with your resume for more information.