Compliance Officer, Marketing Review

Victory Capital•Boston, MA
•$110,000 - $130,000•Onsite

About The Position

Victory Capital is seeking a mid-level professional to join their Marketing Compliance team. This role will support registered investment adviser (RIA), broker-dealer, and direct platforms by actively reviewing and approving advertising and marketing materials for various distribution channels. The position requires interpreting rules and regulations, hands-on marketing material review for a diverse product suite, and collaboration with internal teams. The role also involves contributing to the overall compliance program through editorial tasks or supervisory functions during non-peak periods. The Compliance Officer will report to the Senior Compliance Officer.

Requirements

  • Bachelor's degree; JD or advanced degree a plus.
  • 3+ years of compliance experience within asset management, ETF issuers, investment adviser, or broker-dealer platforms.
  • Strong understanding of SEC, FINRA, MSRB and other related securities advertising compliance, with hands-on marketing review experience.
  • Active FINRA Series 7 and Series 24 licenses, or ability to obtain within 120 days.
  • Excellent writing skills with strong attention to grammar and punctuation.
  • Ability to demonstrate resourcefulness, creativity, and initiative by identifying opportunities to enhance existing processes and implementing, as appropriate.
  • Proficiency in Microsoft Office tools (Excel, PowerPoint, Word).

Nice To Haves

  • Experience working in Red Oak/AdMaster (strong plus)

Responsibilities

  • Interpret and apply knowledge of rules and regulations to the review and approval of marketing materials, including advertising, sales literature, institutional material, digital communications, advisory programs, and other types of communications to ensure compliance with applicable regulations.
  • Review and approve marketing materials for registered investment products across multiple investment franchises, including mutual funds, active/passive ETFs, and UCITS marketed to US Offshore market.
  • Review and approval of institutional products and services materials, including strategy, separately managed accounts, collective investment trusts, and model portfolio delivery materials.
  • Assist and seek to enhance documentation of various policies, procedures, and communications to business units.
  • Act as a collaborative partner to Marketing, Portfolio Management, Product, Fund Administration, and Legal to provide accurate, compliant, commercially practical guidance.
  • Identify opportunities to implement process improvements and drive innovation with technology, including optimizing the firm’s use of Red Oak and internal AI tools.
  • Support regulatory examinations and inquiries related to advertising compliance.
  • Actively participate in various compliance group projects and initiatives.

Benefits

  • Medical
  • Dental
  • Vision plans
  • Flexible PTO
  • Family Medical Leaves
  • Disability Leaves
  • Education Tuition Reimbursement
  • 401k plan with a generous employer match
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