Origin Staffing
Compliance Manager, Global Private Equity | Boston (hybrid)
Origin Staffing, Boston, Massachusetts, us, 02298
Compliance Manager, Global Private Equity | Boston (hybrid)
Join a global investment firm with a long-standing reputation for excellence across private equity, credit, and alternative investments. This is a high-visibility role supporting the firm’s Capital Markets platform—gaining exposure across a wide range of global products and regulatory frameworks, including private credit, evergreen funds, and non‑traded BDCs.
Location:
Boston, MA | Hybrid (3 days onsite)
Base pay range:
$130,000 / yr – $155,000 / yr
What You’ll Do:
Serve as the go‑to compliance partner for credit‑focused private and registered funds
Advise on trading compliance and restricted list protocols
Lead regulatory filings including
Form ADV ,
Form PF , and board/investor reporting
Help shape policies and strengthen the overall compliance framework
Participate in exams, testing, and cross‑functional compliance initiatives
What We’re Looking For:
6+ years in compliance or legal roles (investment adviser experience strongly preferred)
Deep understanding of 1940 Act, credit vehicles, and private fund structures
Strong working knowledge of Form ADV, Form PF, and related reporting obligations
Clear communicator with sharp attention to detail and a collaborative mindset
Able to operate in a fast‑paced, high‑accountability environment with discretion
Why Apply:
Join a respected, tight‑knit compliance team with meaningful cross‑functional exposure
Competitive compensation and long‑term profit‑sharing structure
A clear career path—this team is known for promoting from within
Access to new, innovative product types and complex global regulatory work
Seniority level:
Mid‑Senior level |
Employment type:
Full‑time |
Job function:
Administrative, Finance, and General Business |
Industries:
Financial Services, Venture Capital and Private Equity, Capital Markets
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Location:
Boston, MA | Hybrid (3 days onsite)
Base pay range:
$130,000 / yr – $155,000 / yr
What You’ll Do:
Serve as the go‑to compliance partner for credit‑focused private and registered funds
Advise on trading compliance and restricted list protocols
Lead regulatory filings including
Form ADV ,
Form PF , and board/investor reporting
Help shape policies and strengthen the overall compliance framework
Participate in exams, testing, and cross‑functional compliance initiatives
What We’re Looking For:
6+ years in compliance or legal roles (investment adviser experience strongly preferred)
Deep understanding of 1940 Act, credit vehicles, and private fund structures
Strong working knowledge of Form ADV, Form PF, and related reporting obligations
Clear communicator with sharp attention to detail and a collaborative mindset
Able to operate in a fast‑paced, high‑accountability environment with discretion
Why Apply:
Join a respected, tight‑knit compliance team with meaningful cross‑functional exposure
Competitive compensation and long‑term profit‑sharing structure
A clear career path—this team is known for promoting from within
Access to new, innovative product types and complex global regulatory work
Seniority level:
Mid‑Senior level |
Employment type:
Full‑time |
Job function:
Administrative, Finance, and General Business |
Industries:
Financial Services, Venture Capital and Private Equity, Capital Markets
#J-18808-Ljbffr