Rialto Capital
Join to apply for the
Sr Associate - Compliance
role at
Rialto Capital .
Rialto Capital is a leading real estate investment, finance and asset management firm with 300+ professionals in Miami, New York and other offices across the U.S. Our key businesses include investment management, loan origination, asset management and special servicing. The firm has over $6 billion of assets under management and nearly $3 billion of equity. The successful candidate will be an integral part of Rialto’s Compliance team, working directly with the Chief Compliance Officer to address a range of compliance issues associated with private funds, hedge funds and other clients managed by Rialto Capital Management, LLC.
Key Responsibilities
Develop internal policies and procedures and current regulatory guidance with respect to marketing and other related compliance matters, and assist in maintaining broader L&C policies and procedures.
Develop educational materials and trainings for business professionals.
Assess current and prospective regulatory risk through industry interaction and research.
Review marketing materials, due diligence responses, investor communications, and other fundraising and reporting‑related materials (e.g., quarterly letters, recordings, memoranda, etc.) across various investment strategies from a legal, regulatory, and compliance perspective.
Supervise a variety of regulatory filings with the SEC, CFTC/NFA, and other international regulatory bodies, in collaboration with Rialto's operations and finance teams.
Assist in managing all aspects of trade restrictions including analyzing potential MNPI, clearing trades, and maintaining the restricted list on an ongoing basis.
Work with the team in responding to requests from regulators, preparing for regulatory examinations, and conducting mock examinations in conjunction with external consultants and counsel.
Support the implementation and maintenance of the firm's compliance programs.
Engage in meaningful interactions with Rialto's investment and operational professionals on a wide range of business matters.
Specifications
8+ years of experience in a compliance role within a hedge fund, private equity fund, compliance consultancy, financial services firm, or as a practicing funds lawyer, with in‑depth knowledge of the Investment Advisers Act of 1940.
Bachelor’s degree from an accredited institution is required.
Demonstrated experience with the development, implementation, and oversight of compliance policies and procedures.
Strong attention to detail and analytical skills.
Ability to interpret complex regulatory requirements and provide practical, business‑oriented advice.
Strong project management and organizational skills, able to manage multiple and sometimes conflicting demands.
Highly effective oral and written communication skills and ability to communicate confidently and effectively.
Ability to work independently while remaining a strong team player and building strong working relationships.
Proactive management skills and the ability to manage projects independently to conclusion.
Substantial initiative, creativity, and drive, with the ability to implement a measured approach under competing demands and with confidence.
#J-18808-Ljbffr
Sr Associate - Compliance
role at
Rialto Capital .
Rialto Capital is a leading real estate investment, finance and asset management firm with 300+ professionals in Miami, New York and other offices across the U.S. Our key businesses include investment management, loan origination, asset management and special servicing. The firm has over $6 billion of assets under management and nearly $3 billion of equity. The successful candidate will be an integral part of Rialto’s Compliance team, working directly with the Chief Compliance Officer to address a range of compliance issues associated with private funds, hedge funds and other clients managed by Rialto Capital Management, LLC.
Key Responsibilities
Develop internal policies and procedures and current regulatory guidance with respect to marketing and other related compliance matters, and assist in maintaining broader L&C policies and procedures.
Develop educational materials and trainings for business professionals.
Assess current and prospective regulatory risk through industry interaction and research.
Review marketing materials, due diligence responses, investor communications, and other fundraising and reporting‑related materials (e.g., quarterly letters, recordings, memoranda, etc.) across various investment strategies from a legal, regulatory, and compliance perspective.
Supervise a variety of regulatory filings with the SEC, CFTC/NFA, and other international regulatory bodies, in collaboration with Rialto's operations and finance teams.
Assist in managing all aspects of trade restrictions including analyzing potential MNPI, clearing trades, and maintaining the restricted list on an ongoing basis.
Work with the team in responding to requests from regulators, preparing for regulatory examinations, and conducting mock examinations in conjunction with external consultants and counsel.
Support the implementation and maintenance of the firm's compliance programs.
Engage in meaningful interactions with Rialto's investment and operational professionals on a wide range of business matters.
Specifications
8+ years of experience in a compliance role within a hedge fund, private equity fund, compliance consultancy, financial services firm, or as a practicing funds lawyer, with in‑depth knowledge of the Investment Advisers Act of 1940.
Bachelor’s degree from an accredited institution is required.
Demonstrated experience with the development, implementation, and oversight of compliance policies and procedures.
Strong attention to detail and analytical skills.
Ability to interpret complex regulatory requirements and provide practical, business‑oriented advice.
Strong project management and organizational skills, able to manage multiple and sometimes conflicting demands.
Highly effective oral and written communication skills and ability to communicate confidently and effectively.
Ability to work independently while remaining a strong team player and building strong working relationships.
Proactive management skills and the ability to manage projects independently to conclusion.
Substantial initiative, creativity, and drive, with the ability to implement a measured approach under competing demands and with confidence.
#J-18808-Ljbffr