Director of Compliance

Waverly Advisors, LLC

$110K — $130K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 7-10+ years of RIA or investment management compliance experience
  • Strong knowledge of SEC regulations, specifically the Investment Advisers Act and the Investment Company Act
  • In-depth understanding of private funds
  • J.D. preferred
  • Experience in compliance monitoring, testing, and operations
  • Proven leadership, organizational, and analytical skills

Responsibilities

  • Oversee daily execution of compliance program and policies
  • Lead compliance testing and monitoring initiatives
  • Support regulatory filings and assist with SEC examinations
  • Manage and mentor compliance staff, overseeing their workflow
  • Track regulatory changes and recommend necessary updates
  • Assist in annual compliance reviews and risk assessments
  • Investigate compliance issues and escalate to the CCO when necessary

Benefits

  • Comprehensive Health, Dental, and Vision coverage
  • 401(k) retirement plan with match and profit sharing
  • Twelve paid holidays per year
  • An extra vacation day during your birthday week
  • Flexible Responsible Time Off Policy without annual limits
  • Paid sabbatical program after seven years of service
Full Job Description
In this role, you'll be challenged to take on work that upholds our guiding principle and drives Waverly Advisors forward. We hope you'll grow as a person and leader in your field and transform those around you as well.

We are looking to add a Director of Compliance to our team in our Birmingham office. The Director of Compliance supports the Chief Compliance Officer (CCO) in administering and enhancing the firm's compliance program in accordance with the Investment Advisers Act of 1940, The Investment Company Act of 1940, and other rules and regulations, as applicable. This role is responsible for day-to-day compliance execution, monitoring, and team leadership, while helping the CCO manage regulatory risk and maintain a strong culture of compliance across the organization.

Responsibilities:
  • Oversee daily execution of the compliance program, policies, and procedures.
  • Lead compliance testing and monitoring.
  • Support regulatory filings and assist with SEC exams.
  • Manage and mentor compliance staff; oversee workflow and priorities.
  • Track regulatory changes and recommend updates.
  • Assist with annual compliance review and risk assessment.
  • Investigate compliance issues and escalate to the CCO as needed.


Qualifications and Experience:
  • 7-10+ years of RIA or investment management compliance experience.
  • Strong knowledge of SEC regulations, primarily the Investment Advisers Act of 1940 and the Investment Company Act of 1940.
  • Strong knowledge of private funds.
  • J.D., preferred.
  • Experience with compliance monitoring, testing, and operations.
  • Leadership, organization, and analytical skills.


Travel:
  • Occasional travel is required.


Physical Requirements:
  • Prolonged periods of sitting at a desk and working on a computer.
  • Must be able to lift 15 pounds at times.
  • Must be able to access and navigate each department at the organization's facilities.


Benefits:
  • Comprehensive Health, Dental, and Vision coverage to support your overall well-being.
  • 401(k) retirement plan with match and profit sharing to help you invest in your future.
  • Twelve paid holidays each year.
  • An extra vacation day during your birthday week-so you can celebrate you!
  • Responsible Time Off Policy giving flexibility without annual PTO limits, while balancing team responsibilities and business needs.
  • Paid sabbatical program: Enjoy four consecutive weeks of paid time off after seven years of service.
  • Compensation commensurate with experience.


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