firstPRO, Inc
Key Responsibilities
Serve as Compliance Officer for Capital Markets businesses, with an expected focus on Credit Address compliance and risk-related matters, including registered fund (mutual / interval vehicle) and private fund compliance Administer Restricted List and MNPI protocols Partner with the investment staff to trouble-shoot compliance-related questions Partner with the Trading Desks to assess trading compliance questions Coordinate and oversee regulatory filings, including Form ADV and Form PF, for Capital Markets businesses. Compile Compliance information for (i) Registered Fund / 40 Act reports and questionnaires, and (ii) investor DDQs. Other responsibilities
Coordinate management of routine regulatory inquiries and exams Assist with compliance assurance matters and examination readiness Assist with, and respond to issues and questions identified by, firm testing activities Develop applicable policies and procedures for business unit functions Assist with marketing material review Work on long term projects aimed at strengthening the compliance program Coordinate with Compliance team on committee presentations General Qualifications
8+ years of compliance experience Strong knowledge of registered and private funds, including 40 Act and credit vehicles Expertise in fixed income assets such as bank loans, high yield bonds, collateralized loan obligations, and other structured products Background working with investment staff, including traders and portfolio managers Familiarity with regulatory filings including Form ADV and Form PF Dedicated team player with a strong sense of ownership and follow-through skills Collegial and team-oriented Capacity to handle highly confidential and sensitive information Detail-oriented, conscientious and energetic professional with the ability to think creatively Excellent organizational and time management skills; ability to prioritize multiple projects with high attention to detail and adaptability Customer service orientation with strong interpersonal skills with the capacity to interact with outside parties and personnel across all levels of the firm Strong problem-solving and analytical skills Ability to prioritize responsibilities and work under deadlines Seniority level
Mid-Senior level Employment type
Full-time Job function
Information Technology Industries Staffing and Recruiting Base pay range and additional compensation are provided by the employer. Actual pay will be based on skills and experience — talk with your recruiter to learn more. Director of Compliance and Contract Management, Global Regulatory Compliance Senior Manager, and other related roles are listed for market context and not all postings may be currently active.
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Serve as Compliance Officer for Capital Markets businesses, with an expected focus on Credit Address compliance and risk-related matters, including registered fund (mutual / interval vehicle) and private fund compliance Administer Restricted List and MNPI protocols Partner with the investment staff to trouble-shoot compliance-related questions Partner with the Trading Desks to assess trading compliance questions Coordinate and oversee regulatory filings, including Form ADV and Form PF, for Capital Markets businesses. Compile Compliance information for (i) Registered Fund / 40 Act reports and questionnaires, and (ii) investor DDQs. Other responsibilities
Coordinate management of routine regulatory inquiries and exams Assist with compliance assurance matters and examination readiness Assist with, and respond to issues and questions identified by, firm testing activities Develop applicable policies and procedures for business unit functions Assist with marketing material review Work on long term projects aimed at strengthening the compliance program Coordinate with Compliance team on committee presentations General Qualifications
8+ years of compliance experience Strong knowledge of registered and private funds, including 40 Act and credit vehicles Expertise in fixed income assets such as bank loans, high yield bonds, collateralized loan obligations, and other structured products Background working with investment staff, including traders and portfolio managers Familiarity with regulatory filings including Form ADV and Form PF Dedicated team player with a strong sense of ownership and follow-through skills Collegial and team-oriented Capacity to handle highly confidential and sensitive information Detail-oriented, conscientious and energetic professional with the ability to think creatively Excellent organizational and time management skills; ability to prioritize multiple projects with high attention to detail and adaptability Customer service orientation with strong interpersonal skills with the capacity to interact with outside parties and personnel across all levels of the firm Strong problem-solving and analytical skills Ability to prioritize responsibilities and work under deadlines Seniority level
Mid-Senior level Employment type
Full-time Job function
Information Technology Industries Staffing and Recruiting Base pay range and additional compensation are provided by the employer. Actual pay will be based on skills and experience — talk with your recruiter to learn more. Director of Compliance and Contract Management, Global Regulatory Compliance Senior Manager, and other related roles are listed for market context and not all postings may be currently active.
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