Investment Compliance, Vice President

Blue Owl CapitalShort Hills, NJ
Onsite

About The Position

This role will provide comprehensive compliance coverage and advisory support across the firm’s investment strategies, with a primary focus on credit secondaries products. The Vice President will partner closely with investment, legal, and operational teams to deliver practical guidance on regulatory requirements, product development, and transaction execution. The role is responsible for identifying and managing compliance risks, supporting new initiatives, and helping to ensure adherence to internal policies and applicable regulations.

Requirements

  • Strong ability to identify, escalate, and help resolve potential conflicts or issues
  • Advanced analytical and problem‑solving skills; able to manage multiple workstreams concurrently
  • Clear and effective communicator; proactive in escalation, guidance‑seeking, and concise reporting
  • Demonstrated strength in time management and prioritization to meet key deadlines
  • Deep subject matter expertise with the ability to assume increased responsibility and share knowledge with peers
  • Proactively identifies opportunities to enhance efficiency and performance
  • Raises and addresses issues that may impact clients or the firm’s reputation
  • Ability to commute to Short Hills, NJ

Responsibilities

  • Primary compliance oversight of credit secondaries strategy and products
  • Ensure compliance with regulatory and firmwide processes including but not limited to conflicts, allocations and other ad hoc compliance requests
  • Support the launch of new funds, and assist with ongoing maintenance of existing funds – including, establishing or updating processes and identifying areas of risk
  • Conduct conflicts checks on complex portfolios or situations to support deal flow
  • Ensure all NDAs, wall cross, committee decisions, allocations, cross trades or other requests are documented accurately, completely and timely
  • Collaborate with internal business-side deal teams, Finance, Accounting & Operations, Technology, Legal and external counsel, etc. to further ongoing workstreams or resolve transaction/conflicts related issues
  • Review transactions on weekly Compliance Conflicts Committee meetings (“LCCC”) to address existing or potential conflicts, risks or allocation considerations
  • Adhere to and enforce compliance with all relevant policies and procedures
  • Maintain and refresh procedure documents for areas of ownership, raising any necessary changes to Investment Compliance leadership
  • Actively monitor email, trade chats and relevant in-take systems for new requests
  • Assist with regulatory inbounds and/or routine filing requirements
  • Partner with Internal Audit and Compliance Testing Group as needed

Benefits

  • Health insurance
  • Dental insurance
  • Vision insurance
  • 401(k)
  • Healthcare Flexible Spending Account
  • Dependent Care Flexible Spending Account
  • Short Term Disability insurance
  • Long Term Disability Insurance
  • Family Planning Support
  • Paid Time Off
  • Leave of Absences

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Education Level

No Education Listed

Number of Employees

501-1,000 employees

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