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You will be responsible for providing tailored compliance and regulatory support to SEC registered & unregistered investment advisors, broker dealers and CPO/CTAs.
The ideal candidate must have experience in the private fund compliance field and/or broker dealer compliance field and/or at a regulator handling examinations and regulatory issues. Knowledge of the Investment Advisers Act of 1940 is required with CFTC/FINRA/NFA broker dealer compliance a plus.
Understanding of, the following areas: maintaining, revising, implementing, and enforcing compliance policies and procedures; assisting in regulatory exams/audits/inquiries; updating Form ADV; performing annual compliance reviews; overseeing personal trading activities and an Advisers Act compliant Code of Ethics; monitoring regulatory changes in the investment management industry; interacting with a trading department with respect to brokerage/trading policy adherence; reviewing/revising investment advisory marketing materials.
A J.D. is not required but preferred. Compensation is competitive and commensurate with industry experience.
For more information, please reach out to Robynne McPadden at Twenty Recruitment.
Internal Number: 5530706
About Twenty Recruitment Group - US
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