Deputy Chief Compliance Officer- Investment Advisor

Victory CapitalBoston, MA
$170,000 - $200,000Onsite

About The Position

The Deputy Chief Compliance Officer serves as a senior leader within the Compliance function of a U.S.-based asset management firm. Reporting directly to the Chief Compliance Officer (CCO) of the registered investment advisor, this individual plays a critical role in maintaining the integrity of the firm's compliance program — overseeing regulatory adherence, managing risk, and fostering a culture of ethical conduct across investment, operational, and client-facing teams. You will report to the Head of Compliance.

Requirements

  • 10+ years of compliance experience within the asset management or investment advisory industry.
  • Prior leadership experience preferred.
  • Bachelor's degree required.
  • J.D., MBA, or advanced degree in a related field strongly preferred.
  • Deep understanding of the Investment Advisers Act of 1940, Investment Company Act of 1940, and relevant SEC rules, including Rule 206(4)-7, Rule 38a-1, Rule 22e-4, Rule 18f-4, and related guidance.
  • Strong analytical, written, and verbal communication skills and ability to navigate complex regulatory landscapes and advise senior stakeholders with clarity and confidence.

Nice To Haves

  • Prior leadership experience preferred.
  • J.D., MBA, or advanced degree in a related field strongly preferred.

Responsibilities

  • Assist the CCO of the registered investment advisor and the CCO of the mutual funds in designing, implementing, and administering the firm's Rule 206(4)-7 and Rule 38a-1 compliance programs, including maintaining and updating policies and procedures designed to prevent violations of the federal securities laws.
  • Oversee the preparation and presentation of compliance reports, including annual program reviews, material compliance matter disclosures, and ad hoc updates.
  • Partner with external counsel, fund administrator, transfer agent and custodian to support fund activities.
  • Implement and oversee pre- and post-trade compliance monitoring for portfolios, ensuring adherence to investment restrictions, concentration limits, liquidity requirements, and applicable regulatory guidelines.
  • Coordinate compliance review of regulatory filings, including Form ADV, Form N-CEN, Form N-PORT, Form N-PX, and prospectus/SAI updates, in collaboration with legal and fund operations teams.
  • Monitor evolving regulatory requirements and ensure firm policies, procedures, and controls remain current and effective.
  • Identify, assess, and mitigate compliance risks across investment management, trading, marketing, and distribution activities.
  • Lead periodic compliance testing, surveillance, and monitoring activities; escalate material findings to the CCO and senior management as appropriate.
  • Develop and deliver compliance training programs to promote awareness and a strong culture of compliance firm-wide.
  • Coordinate responses to SEC examinations, regulatory inquiries, and internal/external audits.
  • Manage and mentor compliance staff, supporting professional development and operational excellence within the team.

Benefits

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