Altruist

Compliance Officer

Altruist$119K — $164K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5+ years of investment adviser compliance experience, preferably with broker-dealer exposure.
  • Experience in a fintech or high-growth financial services company.
  • Strong knowledge of the Investment Advisers Act and SEC Marketing Rule with practical judgment.
  • Proven cross-functional collaboration skills, particularly with Compliance and Product teams.
  • Ability to operate with an ownership mindset in a senior individual-contributor (IC) role.
  • Technologically savvy with a quick learning curve for modern tech systems.
  • Bachelor's degree in a relevant field; securities licenses (Series 65/66, Series 7, Series 24) preferred.

Responsibilities

  • Act as the lead compliance point of contact and subject-matter expert for Altruist Advisors.
  • Own the IAR relationship lifecycle from onboarding to offboarding.
  • Assist in building and scaling the compliance program with policies and procedures.
  • Prepare and timely file Form ADV and other necessary amendments.
  • Partner with the Product team to ensure compliance in new offerings.
  • Review and approve IAR marketing materials according to SEC rules.
  • Manage vendor relationships supporting the compliance program.
  • Conduct ongoing monitoring of IAR activities and escalate issues as needed.

Benefits

  • Competitive benefits package including stock options for eligible roles.
  • Commitment to fair and equitable employee compensation with regular reviews.
  • Opportunities for growth and performance-based rewards.
Full Job Description
The opportunity

We're hiring a Compliance Officer to serve as the functional compliance lead for Altruist Advisors, Altruist's new SEC-registered investment adviser. You'll be the primary point of contact and subject-matter expert for the RIA, owning the Investment Adviser Representative (IAR) relationship end-to-end and helping build and scale the RIA's compliance program from the ground up. You'll partner directly with the Head of Compliance and with Product as we launch and grow our new corporate RIA offering.

This is a senior individual-contributor role. You'll own substantive compliance work across the RIA's program - with support - while operating with the judgment and independence to shape how the program is built. You'll also serve as a trusted partner to teams across Product, Engineering, Operations, and Marketing.

*This is a hybrid role requiring three days per week in the office.

Your impact
  • Primary POC and SME - Act as the lead compliance point of contact and subject-matter expert for Altruist Advisors, our new SEC-registered investment adviser.
  • IAR lifecycle - Own the IAR relationship from a compliance perspective, from onboarding through offboarding, including oversight of ongoing IAR activity.
  • Program build-out - Assist in the build-out and scaling of the RIA's compliance program, including the development and management of policies and procedures.
  • Form ADV - Own the preparation, maintenance, and timely filing of Form ADV (Parts 1, 2A, and 2B), including annual updating amendments and other-than-annual amendments as material changes arise.
  • Product partnership - Partner closely with Altruist's Product team to provide compliance input and guidance on the new corporate RIA offering.
  • Marketing review - Review and approve IAR marketing materials and communications under the SEC Marketing Rule.
  • Vendor management - Own vendor relationships supporting the RIA's compliance program.
  • Ongoing oversight - Conduct ongoing oversight and monitoring of IAR activity, escalating issues and driving remediation.
  • Cross-entity support - Provide general compliance support to Altruist's other regulated entities, including the broker-dealer, as required.

What you bring
  • Experience - 5+ years of hands-on investment adviser compliance experience, with demonstrated ability to execute across the full range of a compliance program. Broker-dealer compliance experience preferred.
  • Speed and adaptability - Prior experience in a fintech or high-growth financial services environment, or a comparable track record that demonstrates the ability to move quickly and operate with ambiguity as programs are built.
  • Regulatory expertise - Strong working knowledge of the Investment Advisers Act and the SEC Marketing Rule, with hands-on experience preparing and filing Form ADV, and the practical judgment to apply regulations in a solutions-oriented way and help stand up policies and controls. Familiarity with FINRA rules a plus given cross-entity support.
  • Cross-functional collaboration - Fosters and builds strong cross-functional relationships; drives outcomes across Compliance, Legal, Operations, Product, and Engineering and persuades with data and regulatory rationale rather than authority.
  • Ownership mindset - Comfortable owning a program end-to-end as a senior IC, setting the quality bar for substantive work while partnering with the Head of Compliance on strategy and direction.
  • Technical aptitude - Technologically savvy; gets up to speed quickly on modern tech stacks and partners credibly with Engineering and Product.
  • Education - Bachelor's degree (B.A. or B.S.) in a relevant field.
  • Securities licenses - Series 65/66, Series 7, and Series 24 preferred; willing to obtain shortly after joining also welcome.

Bonus points if you bring:
  • Hands-on experience authoring and maintaining compliance policies and procedures for an RIA
  • Experience with IAR onboarding, registration, and ongoing oversight at scale
  • Experience managing compliance vendors and related tooling


Dallas, TX salary range

$119,000-$164,000 USD

Total compensation includes a competitive benefits package, along with equity in the form of Stock Options (ISOs) for eligible roles. For salaried positions, a salary offer will be determined by a number of factors including experience, skill level, internal pay equity, geographic location, and other relevant business considerations. We review all employee pay and compensation programs regularly to ensure fair, equitable, and competitive pay. At Altruist, we are committed to providing fair, equitable, and competitive compensation by leveraging market data to inform our pay bands. Base salaries will be reviewed at regular intervals throughout the year, typically in conjunction with performance review cycles. By evaluating compensation on a regular basis, we are able to reward high performance and ensure all employees have opportunities for growth.

Don't meet every single requirement? Studies have shown that women and people of color are less likely to apply to jobs unless they meet every single qualification. At Altruist we are dedicated to building a diverse, inclusive, and authentic workplace, so if you're excited about this role, but your past experience doesn't align perfectly with every qualification in the job description, we encourage you to apply anyways. You may be just the right candidate for this or other roles.

About Altruist

Altruist is a financial services company that provides a digital platform for independent registered investment advisors (RIAs). The platform offers a range of services, including custodial services, trading, and portfolio management. Altruist's mission is to make financial advice more accessible and affordable for everyone. The company was founded in 2018 and is headquartered in Los Angeles, California.
Learn more about Altruist
Size
200 employees
Industry
Founded
2018

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