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Asana Partners

Director - Compliance

Asana Partners, Charlotte, North Carolina, United States, 28245

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Director - Compliance

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Asana Partners

About the Company Asana Partners is a retail real estate investment firm creating value in vibrant neighborhoods by leveraging vertically integrated capabilities and retail expertise. With more than $7 billion of neighborhood assets under management, the firm is active in growth markets throughout the United States and is driven to make a positive impact within communities.

About the Role The Director – Compliance position will lead and enhance the compliance program at Asana Partners, which is a registered investment adviser with the Securities and Exchange Commission (SEC) and is subject to the Investment Advisers Act of 1940 (the Advisers Act). The senior role will work with the General Counsel and Chief Compliance Officer and serve as a key advisor to firm leadership on compliance strategy, risk management and regulatory matters.

Responsibilities

Advise senior leadership on emerging regulatory risks, enforcement trends, and compliance implications for strategic initiatives

Serve as a thought leader on compliance matters, including AI, cybersecurity and data privacy

Oversee all aspects of the compliance program including onboarding and offboarding employees into the compliance system, and address employee questions around the Code of Ethics

Maintain all records of compliance regarding pre‑clearance approvals and marketing reviews

Manage compliance operations related to marketing reviews, pre‑clearance approvals and recordkeeping

Coordinate with Investor Relations on global marketing compliance and licensing requirements

Track and manage compliance with fund partnership agreements and investor side‑letter agreements

Provide dedicated compliance support to the firm and partner with external regulatory advisers

Lead preparation and response efforts for SEC audits and other regulatory inquiries

Conduct the annual compliance review and back‑test different compliance policies; continually assess the compliance policies and procedures, and drive implementation of policy enhancements

Collaborate closely with the Finance & Accounting teams on regulatory reporting requirements

Leverage data analytics to identify trends, gaps and opportunities for program improvement

Requirements

Deep knowledge of the Advisers Act, insider trading, anti‑money laundering laws, anti‑bribery and corruption rules, and conflicts of interest

Proven track record managing SEC audits and regulatory communications

Fluency with the FINRA IARD system and SEC filings including Form ADV and Form PF

Highly organized, proactive, solutions‑oriented thinker, with a passion for compliance and helping a growing firm navigate evolving rules and regulations

Strong communication, interpersonal, and collaboration skills

10+ years of advanced compliance experience at a financial services firm

Expertise with the FINRA IARD system to input annual Form ADV and Form PF

Knowledge with compliance monitoring systems, such as ComplySci and technology solutions

Experience with private equity, fund management, and/or real estate strongly preferred

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