Associate, Compliance

Polymer Capital

$80K — $120K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Finance, Economics, Law, or a related field
  • 5-7 years of relevant compliance experience, preferably with hedge funds or multi-manager platforms
  • Strong knowledge of U.S. regulatory framework, specifically the SEC Investment Advisers Act
  • Familiarity with multiple asset classes including equities, derivatives, fixed income, and FX
  • Exposure to quantitative or systematic trading strategies is a plus

Responsibilities

  • Assist in implementing and enhancing the compliance program per SEC, CFTC, and NFA regulations
  • Conduct daily, monthly, and ad hoc surveillance and monitoring of trades and communications
  • Support regulatory filings and periodic reporting requirements, including updates to Form ADV
  • Monitor compliance with SEC Regulation M during distribution periods
  • Perform pre- and post-trade compliance checks and assist in manager onboarding
  • Maintain and update compliance policies and procedures, including the compliance manual
  • Assist in logging, investigating, and escalating compliance incidents and breaches

Benefits

  • Prime Location: Centrally located office in Midtown, NY
  • High-Growth: Work with ambitious professionals focused on skill development
  • Equal opportunity employer: Commitment to diversity and inclusion
  • Global exposure: Collaborate across six offices and three affiliate locations
  • Dynamic and Collaborative Environment: Engage with industry leaders
  • Paid Annual Leave
  • Medical Group Insurance
  • Gym reimbursement
  • DEI and Philanthropy Initiatives
  • Professional Learning & Development Opportunities
Full Job Description
Job Brief

We are seeking a highly motivated and detail-oriented Compliance Associate to join our growing compliance team within a multi-manager hedge fund platform. The role is hands-on and suited to someone who can work independently in a fast-paced investment management environment and includes monitoring, regulatory support, training, and advisory responsibilities.

Regulatory Compliance & Monitoring
  • Assist in the implementation and ongoing enhancement of the firm's compliance program in accordance with SEC, CFTC, and NFA regulations
  • Conduct daily, monthly, and ad hoc surveillance and monitoring, including:
    • Trade surveillance (e.g., market abuse, front-running, insider trading)
    • E-communications surveillance
    • Personal account dealing (PAD) reviews
    • Restricted list monitoring and watch list maintenance
  • Support Form ADV updates, regulatory filings, and other periodic reporting requirements

Regulation M & Market Conduct Compliance
  • Support compliance with SEC Regulation M, including:
    • Monitoring for restricted activities during distribution periods
    • Maintaining and updating Reg M restricted lists
  • Coordinate with trading, capital markets, and legal teams on deal-related restrictions and wall-crossing procedures


Multi-Manager Platform Oversight
  • Work with portfolio managers and trading teams across multiple strategies to ensure compliance with risk limits and internal controls:
  • Perform pre- and post-trade compliance checks and work with CCO to follow up with portfolio managers and trading teams
  • Assist in manager onboarding and ongoing due diligence processes


Policies, Procedures & Controls
  • Maintain and update compliance policies and procedures, including the compliance manual and code of ethics
  • Assist in rolling out compliance training programs and firm-wide communications
  • Participate in reviews and testing of internal controls and compliance frameworks

Regulatory Filings & Documentation
  • Support preparation and submission of regulatory filings (e.g., Form PF, Form ADV, Form D, 13F, 13H, PQR, as applicable)
  • Assist in responding to regulatory inquiries, audits, and examinations

Incident Management & Investigations
  • Assist in the logging, investigation, and escalation of compliance incidents, breaches, or exceptions
  • Perform root cause analysis and track remediation actions

Requirements

Qualifications & Experience
  • Bachelor's degree in Finance, Economics, Law, or a related field
  • 5-7 years of relevant compliance experience, preferably within:
    • Hedge funds, asset management firms, or multi-manager platforms
    • Exposure to quantitative or systematic trading strategies is a plus
  • Strong knowledge of U.S. regulatory framework (SEC Investment Advisers Act)
  • Familiarity with multiple asset classes (equities, derivatives, fixed income, FX)


Skills & Competencies
  • High attention to detail and strong analytical skills
  • Strong communication and interpersonal skills with the ability to engage front office stakeholders
  • Proficiency in Microsoft Office; experience with compliance or trading systems is a plus
  • Proactive mindset with a strong sense of ownership and accountability

Benefits

Why join us?
  • Prime Location: You'll work full time from our centrally located office space in Midtown, NY
  • High-Growth: We have a team of highly ambitious professionals with a strong desire to learn and develop their skills.
  • Equal opportunity employer: We celebrate diversity and are committed to creating an inclusive environment for all employees.
  • Global exposure: With six offices and three affiliate offices around the region, Polymer teams work together to solve meaningful problems on a scale.
  • Dynamic and Collaborative Environment: Opportunity to work with industry leaders and experts to engage in exciting projects and fulfilling challenges.


Some of our Benefits
• Paid Annual Leave
• Medical Group Insurance
• Gym reimbursement
• DEI and Philanthropy Initiatives
• Professional Learning & Development Opportunities

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