Financial Services Consulting Senior Manager
About the role
Weaver is seeking a Senior Manager or Director to lead its growing Financial Services Consulting practice. This role will advise investment advisers, asset managers, fund sponsors, and other financial services organizations on regulatory compliance, data, and analytics.
Responsibilities
- Lead client-facing engagements and build a high-performing team
- Drive practice growth and offer expertise to a variety of clients
- Support clients through regulatory examinations and inquiries
- Assess and implement technology and tooling for compliance, risk, and operations platforms
- Develop and maintain data governance frameworks and regulatory reporting designs
- Translate complex regulatory and data topics into actionable insights for C-suite, GP/LP audiences, boards, and audit/compliance committees
Requirements
- Bachelor's degree in Business, Accounting, Finance, Economics, Data Analytics or a related field; advanced degree (MBA, MS) preferred
- Relevant professional certifications preferred, including CPA, CFA, CAIA, FRM, CIPM or IACCP
- 8+ years of industry or consulting experience advising investment advisers, asset managers, fund sponsors or other financial services organizations, with progressive leadership responsibility
- Demonstrated expertise across multiple financial services regulatory regimes, including the Investment Advisers Act of 1940, the Investment Company Act of 1940, SEC rules, CFTC and NFA requirements, and other applicable U.S. regulatory frameworks
- Experience advising across various investment fund types, including hedge funds, private equity, private credit, venture capital, real estate funds, registered investment companies (mutual funds, ETFs, BDCs), funds of funds, and other alternative investment vehicles
- Practical understanding of compliance program design and execution, including Form ADV preparation, written policies and procedures (Rule 206(4)-7), marketing and advertising reviews, electronic communications surveillance, Code of Ethics monitoring, and annual compliance reviews
- Familiarity with core investment and trading platforms, including transaction capture and order management systems, IBOR and ABOR architectures, portfolio accounting, reconciliation workflows, and downstream data flows supporting risk, compliance, regulatory reporting, and investor reporting
- Balanced data and analytics capability spanning: Data governance frameworks supporting regulatory and investor reporting, Regulatory reporting design and automation (e.g., Form PF, Schedule of Investments, AIFMD-aligned reporting), Analytics and dashboards supporting compliance monitoring, exposure, performance and risk, Technology and tooling assessment for compliance, risk and operations platforms including familiarity with emerging AI tools, Data transformation initiatives supporting target operating model design and post-merger integration
- Demonstrated ability to lead client-facing advisory engagements from sales through delivery, including scoping, work plan development, team leadership, deliverable quality, and executive presentations
Qualifications
- Strong people leadership skills: hiring, developing, mentoring, and retaining high-performing advisory professionals
- Excellent written and verbal communication, with the ability to translate complex regulatory and data topics into actionable insight for C-suite, GP/LP audiences, boards, and audit/compliance committees
Skills
- Regulatory advisory experience spanning the SEC, CFTC, NFA, the Investment Advisers Act, the Investment Company Act and other relevant U.S. financial services regulatory regimes
- Data-enabled advisory delivery across data governance, regulatory reporting, analytics, dashboards, tooling, and transformation
- Leading client-facing engagements, building and mentoring a high-performing team, driving practice growth, and offering valuable expertise to a variety of clients
- Leading regulatory examinations and inquiries from the SEC, FINRA, NFA and other regulatory bodies
- Supporting clients through regulatory examinations and inquiries from the SEC, FINRA, NFA and other regulatory bodies
- Leading client-facing advisory engagements from sales through delivery, including scoping, work plan development, team leadership, deliverable quality, and executive presentations
- Leading regulatory examinations and inquiries from the SEC, FINRA, NFA and other regulatory bodies
- Leading client-facing advisory engagements from sales through delivery, including scoping, work plan development, team leadership, deliverable quality, and executive presentations
Benefits
A reasonable estimate of the compensation range for this position is $155,000 to $265,000. Actual compensation will be based on a variety of factors including but not limited to experience, skills, certifications, and geographical location. In addition to compensation packages, Weaver offers competitive health benefits, such as medical, dental, vision, disability, life insurance, and a 401(k) plan. Further, we support our employees by offering flexible scheduled time off (STO), minimum of 56 hours of sick and safe leave, 11 holidays, and 2 scheduled recharge days!
Pay
$155,000 to $265,000
Schedule
Full-time