What are the responsibilities and job description for the Deputy Chief Compliance Officer position at Fernridge Group?
Senior Compliance Officer/Deputy Chief Compliance Officer:
Please note: This role is based full-time in San Diego. The firm offers relocation assistance for candidates moving to the area.
About the Opportunity:
Our client is a private equity firm specializing in investments across energy, infrastructure, and industrial markets. Backed by significant institutional capital, the firm has built a collaborative, entrepreneurial culture where compliance is viewed as a strategic partner to the business. As the platform continues to grow, the firm is seeking a senior compliance professional to serve as #2 to the GC/CCO with a direct path to take on the CCO role.
Key Responsibilities
- Partner with senior management in the oversight and enhancement of the firm's comprehensive compliance program.
- Lead ongoing monitoring, testing, and risk assessment initiatives across the organization.
- Advise investment professionals, operating partners, investor relations, finance, and operations teams on regulatory and compliance matters.
- Oversee compliance policies, procedures, and controls to ensure alignment with evolving regulatory requirements and business objectives.
- Manage regulatory filings, reporting obligations, and examination readiness.
- Review and approve marketing materials, fundraising documents, investor communications, and public-facing content.
- Lead employee compliance initiatives, including code of ethics administration, personal trading reviews, certifications, and training programs.
- Monitor regulatory developments affecting private fund managers and assess potential business impact.
- Support compliance aspects of fundraising activities, new product launches, strategic initiatives, and vendor oversight.
- Prepare materials and reporting for senior management and governance committees.
- Serve as a key contributor to the long-term strategic development of the compliance function.
Qualifications
- 7-12 years of compliance, legal, regulatory, or risk experience within private equity or private credit.
- Strong knowledge of SEC investment adviser regulations and private fund compliance requirements.
- Experience advising senior stakeholders and partnering across investment, finance, operations, and investor-facing teams.
- Ability to operate both strategically and hands-on in a lean, collaborative environment.
- Strong judgment, discretion, communication skills, and executive presence.
- Bachelor's degree required; JD preferred.
Salary : $200,000 - $400,000