Associate, Private Equity Compliance

Vista Equity Partners ManagementSan Francisco, CA
17d$110,000 - $150,000

About The Position

Vista Equity Partners (“Vista”) is seeking to hire a Compliance Analyst or Associate (subject to experience) to support Vista’s Private Equity Compliance program. This individual will proactively assist in identifying and containing compliance risk, foster a business-oriented compliance function, and help the organization embrace compliance. Successful candidates will possess a high level of personal accountability, a strong work ethic, strong organizational skills, and the ability to work as a part of a team or individually with limited supervision. This is a highly visible and impactful role that will require excellent communication skills and a professional demeanor. This role is for an immediate start and based in New York, NY or San Francisco, CA.

Requirements

  • Bachelor’s Degree
  • 3-4 years of experience in a compliance or related role at a registered investment adviser or broker dealer preferred.
  • Ability to work in a fast-paced and dynamic environment with changing
  • Strong organizational, analytical, written, and verbal communication
  • Excellent interpersonal skills and client service
  • Excellent time management, organization, and prioritization
  • Ability to work as a part of a team or individually with limited supervision is highly essential.

Nice To Haves

  • Working knowledge of compliance testing, SEC Rule 206(4)-7, and SEC and FINRA marketing rules is also highly desired.

Responsibilities

  • Conduct ongoing internal testing to assess the effectiveness of Vista’s policies and procedures, identify potential enhancements, and help ensure adherence to regulatory requirements.
  • Coordinate with external compliance consultants on periodic reviews; assist with document requests and participate in interviews with key business partners to provide accurate and thoughtful responses.
  • Support the Compliance Team in preparing and filing required regulatory filings, including Form ADV, Form 13F, Form PF, CFTC filings, etc., as well as assist with proxy voting oversight.
  • Partner with Vista’s investor relations and marketing teams to review and approve marketing materials and social media communications to ensure compliance with the SEC’s Marketing Rule.
  • Assist with SEC examinations and regulatory inquiries, including document collection, coordination across internal teams, and drafting responses.
  • Conduct independent research and analysis on compliance and regulatory developments relevant to private fund advisers.
  • Perform other ad hoc projects and initiatives to support the broader Compliance Team.
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