A company is looking for an AVP of Investment Adviser Compliance.
Key Responsibilities
Oversee personal trading management and ensure adherence to internal policies
Monitor employee electronic communications for compliance with regulations
Assist in the preparation and filing of regulatory reports and compliance testing
Required Qualifications
At least 5 years of experience in a compliance role focused on investment adviser compliance
Understanding of Rule 206(4)-7 under the Advisers Act and related regulations
BA degree required
Experience in ETF, mutual fund, or financial services environment is desired
Knowledge of SEC rules applicable to registered investment advisers is preferred
Compliance Officer • Columbia, South Carolina, United States