- Location
- United States
- Workplace
- Remote
- Type
- Full-time
- Department
- Legal
- Seniority
- Manager
- Education
- Bachelor
- Source
- Pinpoint
Description
Compliance Manager
Department: Compliance Services
Employment Type: Permanent - Full Time
Location: United States
Reporting To: Erick Aguayo
Description
At Confluence, we’ve always been driven by a commitment to innovation, precision, and partnership in the investment data space. Our global footprint now spans multiple countries, giving our employees the opportunity to get exposure to other countries and cultures. And it stands to reason that none of this would have been possible without the hundreds of hard-working employees who work at Confluence.
More about the role & team
- Preparing and supporting regulatory filings, including Form ADV, Form 13F, Form U4 and Form U5 filings.
- Conducting electronic communications reviews and surveillance activities.
- Supporting compliance testing and compliance programme reviews.
- Administering and testing Code of Ethics programmes.
- Managing recurring regulatory deadlines and client deliverables.
- Utilising compliance technology solutions to support monitoring and programme administration.
- Working directly with clients to deliver high-quality compliance support and guidance.
- Managing multiple client engagements simultaneously while maintaining exceptional standards of accuracy and service.
What skills and experience do I need to succeed?
- 3+ years of compliance experience within the investment management industry.
- Experience preparing regulatory filings through IARD, EDGAR, FINRA Gateway and/or CRD.
- Hands-on experience with Form ADV, Form 13F, Form U4 and Form U5 filings.
- Investment adviser compliance experience.
- Experience with Code of Ethics administration, electronic communications surveillance and/or compliance monitoring.
- Strong Excel, data management and analytical skills.
- Excellent written and verbal communication skills.
- Strong attention to detail and organisational skills.
- Ability to manage multiple priorities and client deliverables.
- Proactive, self-sufficient approach to work.
- Bachelor's degree or equivalent experience.
- Broker-dealer compliance experience.
- Experience supporting private fund advisers or registered investment companies.
- Compliance consulting experience.
- Experience gained within an investment adviser, wealth manager, broker-dealer or custodian adviser.
- Familiarity with ACM, Hadrius, Greenboard or similar compliance monitoring systems.
- Experience with electronic communication retention and monitoring solutions.
- Industry certifications such as IACCP, CRCP, ACAMS, Series 7, Series 24 or Series 65.
- Fully remote working environment.
- Exposure to investment advisers, broker-dealers, private funds and registered funds.
- A varied workload spanning regulatory filings, compliance testing, surveillance and risk assessments.
- Opportunity to develop expertise using compliance technology solutions.
- Significant client exposure and visibility.
- Small team culture with the support and resources of a larger organisation.
What do we offer?
Fully remote US-based role.
If you believe that this job posting is noncompliant, please email us at [email protected].
Pre-Employment Screening Disclaimer
As part of our recruitment process, we carry out identity checks on all candidates. Offers of employment are conditional upon the completion of satisfactory background checks prior to the commencement of work. These checks may include verification of identity, right to work in the UK, employment history, and other relevant pre-employment screening.