Jobs · Management

Director of Investment Adviser Compliance

PINE Advisor Solutions · United States · 1 mo ago
RemoteRemoteManagement$150k–$180k/yrFull-time

Responsibilities

  • Serve as the outsourced CCO for RIAs, managing multiple client accounts across a variety of investment strategies.
  • Provide guidance on Advisers Act, ICA, SEC regulations.
  • Leverage excellent communication, collaboration, client service and relationship management skills to guide and mentor team members; provide coaching and development opportunities.
  • Lead a team in delivering compliant programs for SEC-registered advisers.
  • Conduct regularly scheduled calls and meetings to advise clients on regulatory best practices.
  • Oversee development of key compliance work products: written policies and procedures, risk assessments, compliance manuals, codes of ethics, compliance calendars.
  • Perform annual 206(4)-7 reviews examining adviser's policies, procedures, and documentation.
  • Conduct forensic testing and ongoing compliance monitoring based on risk assessments.
  • Aid with regulatory filings such as Form ADV, Form PF, 13F, and fund compliance questionnaires.
  • Represent clients in SEC examinations and enforcement actions; develop action plans and responses.
  • Identify opportunities to enhance compliance services and add value for clients.
  • Participate in business development initiatives, conference speaking, and client meetings.
  • Exercise discretion and make independent judgments on matters of significance.
  • Thrive in a fast-paced small team environment.
  • Stay current on regulations and compliance trends; pursue continuing education.
  • Embrace new initiatives and continuously enhance internal processes and workflow.

Qualifications

  • 10+ years in investment advisory compliance consulting or in-house.
  • Specific experience in asset management, hedge funds, private equity a plus.
  • Compliance certifications like IACCP or CCEP preferred.
  • Excellent written/verbal communication and presentation skills.
  • Lead calls and draft responses during SEC examinations and enforcement actions.
  • Existing network and business development experience.
  • Speak at industry conferences; author compliance articles.
  • Flexibility to work independently and in a team environment.
  • Dedication to ethics, integrity, and client service.
  • NFA/CFTC experience is a plus.
  • Strong interpersonal skills with the ability to build effective working relationships.
  • Ability to collaborate with colleagues, clients, and junior team members.

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