This role will be based out of one of our office locations (New York City/Tri-State, Boston (opening 2025), Pittsburgh, Chattanooga, Portland Maine and Medford Oregon). You will work on a hybrid schedule with two days a week in the office. The individual in this position is responsible for participating in mock regulatory examinations and compliance program reviews, assisting with policy and procedure reviews, drafting reports and manuals that promote compliance with regulatory requirements, and providing compliance assistance and advice to clients including those who advise private funds (i.e. hedge funds, private equity, real estate, private credit, credit, venture capital, infrastructure, etc.) and/or registered products (ETFs and/or mutual funds). The individual can take a leading role in complex projects. The individual in this position is also responsible for the development of client relationships and the development and oversight of ACA junior staff. The individual should also be open to serving as an outsourced chief compliance officer (“OCCO”) to clients. As an OCCO, the individual will be the named CCO for such clients and will be responsible for ensuring that the compliance program is carried out by regulatory requirements and best practices.
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Job Type
Full-time
Career Level
Senior
Industry
Professional, Scientific, and Technical Services
Education Level
Bachelor's degree