Compliance Officer, Marketing Review

Victory Capitel

$110K — $130K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree; JD or advanced degree preferred.
  • 3+ years of compliance experience in asset management or related areas.
  • Strong knowledge of SEC, FINRA, and MSRB securities advertising compliance.
  • Active FINRA Series 7 and Series 24 licenses, or ability to obtain within 120 days.
  • Excellent writing skills with attention to detail.
  • Demonstrated creativity in process enhancement initiatives.
  • Experience with Red Oak/AdMaster is a plus.

Responsibilities

  • Interpret and apply regulatory knowledge to marketing material reviews.
  • Review and approve marketing materials for various investment products.
  • Collaborate with internal teams like Marketing and Legal for compliant guidance.
  • Enhance documentation of policies and procedures for compliance.
  • Drive process improvements and technology innovation.
  • Support regulatory exams and inquiries regarding advertising compliance.
  • Participate in compliance group projects and initiatives.

Benefits

  • Excellent Medical, Dental, and Vision plans.
  • Flexible PTO.
  • Family Medical and Disability Leaves.
  • Education Tuition Reimbursement.
  • 401k plan with generous employer match.
Full Job Description
Compliance Officer, Marketing Review

Boston, MA

General Summary and Purpose:

We are seeking a mid-level professional to work in our Marketing Compliance team, supporting both our registered investment adviser (RIA), broker-dealer, and direct platforms. You will actively review and approve advertising and marketing materials for retail, institutional, and intermediary distribution channels, and work directly with colleagues across the company to produce compliant and effective collateral.

This role demands both interpreting rules and regulations and hands-on marketing material review for a diverse product suite. We are looking for a team player with strong analytical skills and good common sense. During peak periods, particularly around quarter-end reporting cycles, your ability to prioritize, exercise sound judgment, and collaborate will be critical. Outside of peak periods, you will also be expected to contribute to the success of overall compliance program. This may include various editorial tasks or supervisory functions, as aligned with program needs and/or your interests and abilities.

You will report to the Senior Compliance Officer.

You Will:

  • Interpret and apply knowledge of rules and regulations to the review and approval of marketing materials, including advertising, sales literature, institutional material, digital communications, advisory programs, and other types of communications to ensure compliance with applicable regulations.
  • Review and approve marketing materials for registered investment products across multiple investment franchises, including mutual funds, active/passive ETFs, and UCITS marketed to US Offshore market.
  • Review and approval of institutional products and services materials, including strategy, separately managed accounts, collective investment trusts, and model portfolio delivery materials.
  • Assist and seek to enhance documentation of various policies, procedures, and communications to business units.
  • Act as a collaborative partner to Marketing, Portfolio Management, Product, Fund Administration, and Legal to provide accurate, compliant, commercially practical guidance.
  • Identify opportunities to implement process improvements and drive innovation with technology, including optimizing the firm's use of Red Oak and internal AI tools.
  • Support regulatory examinations and inquiries related to advertising compliance.
  • Actively participate in various compliance group projects and initiatives.

You Have:

  • Bachelor's degree; JD or advanced degree a plus.
  • 3+ years of compliance experience within asset management, ETF issuers, investment adviser, or broker-dealer platforms.
  • Strong understanding of SEC, FINRA, MSRB and other related securities advertising compliance, with hands-on marketing review experience.
  • Active FINRA Series 7 and Series 24 licenses, or ability to obtain within 120 days.
  • Excellent writing skills with strong attention to grammar and punctuation.
  • Ability to demonstrate resourcefulness, creativity, and initiative by identifying opportunities to enhance existing processes and implementing, as appropriate.
  • Experience working in Red Oak/AdMaster (strong plus)
  • Proficiency in Microsoft Office tools (Excel, PowerPoint, Word)

Our Benefits:

Victory Capital Management Inc. offers excellent Medical, Dental, Vision plans, Flexible PTO, Family Medical and Disability Leaves, Education Tuition Reimbursement, and a 401k plan with a generous employer match.

Target Compensation:

The target base salary range for this position is $110,000 - $130,000.

Salaries are determined based on internal equity, internal salary ranges, market data/ranges, applicant's skills and prior relevant experience, certain degrees, and certifications.

Victory Capital Management operates a pay-for-performance compensation philosophy and total compensation may vary based on role, location, department and individual performance.

Victory Capital Management's total compensation package includes the opportunity for annual compensation bonuses and/or commissions and a generous benefits package.

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