PeopleFluent is Hiring a Chief Compliance Officer Near Boston, MA
We are a growing Registered Investment Advisory firm located in downtown Boston. Our primary distribution channels are in the US broker-dealer and investment advisor marketplace. We are seeking a Chief Compliance Officer who can provide advisory oversight in all facets of our business. The ideal candidate will have extensive knowledge of today's compliance environment for RIA's and detailed experience with 1940 Act (Mutual Funds). Key Responsibilities:
Develop a detailed understanding of firm's business to manage compliance and federal securities law and regulations for mutual funds, separately managed accounts, and variable insurance trusts.
Ensure advertising/marketing materials for products and their use by Sales & Marketing are compliant with applicable regulatory requirements
ADV Reviews and Updates
Prospectus, Annual Reports, SAI filings and Updates
Onboarding new personnel with FINRA Registrations/Compliance Meetings/Training Materials/Code of Ethics/Compliance Manual
Lead person for audits, legal, and business partners for ongoing business changes, and regulatory expectations
Develop and implement effective surveillance oversight for sales, marketing, trading, products
Prepare Board Report and presentation
Requirements:
Bachelor's Degree
Strong knowledge of legal requirements
Requires attention to detail, as well as the ability to work independently
Strong analytical and problem-solving skills
Ability to multi-task, meet deadlines
Excellent verbal and written communications skills
Compensation is commensurate with experience
Benefits:
Company paid competitive benefits package, including health, dental, life insurance, disability insurance, and 401(k).