Compliance Manager

Confluence Technologies

$80K — $120K *
US-AnywhereRemote in United States
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 3+ years of compliance experience in investment management industry.
  • Hands-on experience with regulatory filings: Form ADV, Form 13F, Form U4, Form U5.
  • Expertise in Code of Ethics administration and communications surveillance.
  • Strong analytical, Excel, and data management skills.
  • Bachelor's degree or equivalent experience.

Responsibilities

  • Prepare and support regulatory filings like Form ADV and Form 13F.
  • Conduct electronic communications reviews and surveillance activities.
  • Support compliance testing and programme reviews.
  • Administer and test Code of Ethics programmes.
  • Manage regulatory deadlines and deliverables for clients.
  • Utilize compliance technology solutions for monitoring.
  • Work directly with clients to provide compliance support.

Benefits

  • Fully remote working environment.
  • Diverse workload across various compliance tasks.
  • Opportunity for professional development in compliance technology.
  • Significant client interaction and visibility.
  • Collaborative small team culture within a larger organization.
  • Generous time off, including additional days with public holidays.
Full Job Description
Compliance Manager

Department: Compliance Services

Employment Type: Permanent - Full Time

Location: United States

Reporting To: Erick Aguayo

Description

Location - US Remote (Central & Eastern Time Zones Preferred)

More about the role & team

We're looking for a Compliance Manager to join our specialist Compliance Services team. This is an opportunity to work across a diverse portfolio of investment adviser, broker-dealer and private fund clients, supporting critical compliance activities and helping organisations navigate complex regulatory requirements.

You'll become part of a close-knit, highly collaborative team while benefiting from the resources, stability and opportunities that come with being part of a larger global organisation.

As a Compliance Manager, you will play a key role in delivering compliance services to clients across the investment management industry. Your responsibilities will include:
  • Preparing and supporting regulatory filings, including Form ADV, Form 13F, Form U4 and Form U5 filings.
  • Conducting electronic communications reviews and surveillance activities.
  • Supporting compliance testing and compliance programme reviews.
  • Administering and testing Code of Ethics programmes.
  • Managing recurring regulatory deadlines and client deliverables.
  • Utilising compliance technology solutions to support monitoring and programme administration.
  • Working directly with clients to deliver high-quality compliance support and guidance.
  • Managing multiple client engagements simultaneously while maintaining exceptional standards of accuracy and service.


What skills and experience do I need to succeed?

Essential Requirements
  • 3+ years of compliance experience within the investment management industry.
  • Experience preparing regulatory filings through IARD, EDGAR, FINRA Gateway and/or CRD.
  • Hands-on experience with Form ADV, Form 13F, Form U4 and Form U5 filings.
  • Investment adviser compliance experience.
  • Experience with Code of Ethics administration, electronic communications surveillance and/or compliance monitoring.
  • Strong Excel, data management and analytical skills.
  • Excellent written and verbal communication skills.
  • Strong attention to detail and organisational skills.
  • Ability to manage multiple priorities and client deliverables.
  • Proactive, self-sufficient approach to work.
  • Bachelor's degree or equivalent experience.
  • Broker-dealer compliance experience.
  • Experience supporting private fund advisers or registered investment companies.
  • Compliance consulting experience.
  • Experience gained within an investment adviser, wealth manager, broker-dealer or custodian adviser.
  • Familiarity with ACM, Hadrius, Greenboard or similar compliance monitoring systems.
  • Experience with electronic communication retention and monitoring solutions.
  • Industry certifications such as IACCP, CRCP, ACAMS, Series 7, Series 24 or Series 65.

This role offers a unique opportunity to broaden your compliance expertise while working across a variety of client engagements.

Benefits of the role include:
  • Fully remote working environment.
  • Exposure to investment advisers, broker-dealers, private funds and registered funds.
  • A varied workload spanning regulatory filings, compliance testing, surveillance and risk assessments.
  • Opportunity to develop expertise using compliance technology solutions.
  • Significant client exposure and visibility.
  • Small team culture with the support and resources of a larger organisation.


What do we offer?

Confluence offers generous benefit packages for team members. As a growing, global organization, we are always looking for ways to ensure that our employees can access benefits that matter to them and their families. This includes:

🕚 Generous Time Off packages including additional half days with each public holiday in your location.

🌎 Global Career Development opportunities

🎊 Social Events

💵 Referral Bonus scheme - Upto $3,000 per successful referral

Plus many more!

More about the Location

We offer flexible working options for all employees.

Fully remote US-based role.

Preference for candidates located within the Central or Eastern time zones.

Minimal travel requirements.

#LI-Remote

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