A rapidly growing Registered Investment Advisor is looking to bring on a new Chief Compliance Officer to their team. The ideal candidate will be someone who has 8+ years of experience working within a RIA, covering a variety of compliance matters and able to help build the framework at the firm. The role will be based in Chicago in a hybrid setting.
Responsibilities:
- Oversee regulatory filings for the organization, such as Form ADVs, CRS, and BDs, as well as other state filings.
- Manage U4/U5 submissions for registered representatives.
- Perform periodic and monthly testing of compliance policies and procedures.
- Responsible for the surveillance program to monitor activity and identify any issues for potential escalation.
- Partner closely with the SEC and FINRA, as well as state agencies; strong knowledge of KYC and AML policies.
- Develop the compliance framework for the firm and implement in partnership with the executive team.
Qualifications:
- 8+ years of experience at a RIA or in the Investment Management sector.
- Bachelor's in Business, Finance, Pre-Law or Economics; MBA or JD preferred.
- Prior experience in implementation and maintenance of compliance programs at a RIA.
- Ability to work with executive team members and strategize on compliance policies.
- Certification such as IAACP, CRCM, or CCEP is desired.
Benefits:
- Competitive compensation package.
- Medical, Vision, Dental & 401k.
- Strong PTO policy.
- Ability to grow and develop at a growing firm.
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