Manulife Financial Corporation

Global Chief Compliance Officer and Managing Director -Manulife Investment Management Private Markets Timberland, Agriculture, Private Equity Infrastructure

Manulife Financial Corporation$152K — $283K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Senior compliance leader with investment management experience
  • Minimum 10 years in U.S. Investment Advisers Act 206(4)-7 compliance programs
  • Strong understanding of U.S. SEC regulations
  • Experience with cross-border regulatory compliance
  • Proven ability to manage complex compliance issues independently
  • Familiarity with private markets investment programs
  • Experience in real asset property management compliance is a plus

Responsibilities

  • Design and execute SEC 206(4)-7 compliance program for MIMTA
  • Oversee property management compliance and risk framework
  • Lead compliance function for Manulife's Private Equity Infrastructure Group
  • Develop policies to prevent and detect legal violations
  • Engage with clients on compliance and risk management
  • Manage regulatory examinations and training programs
  • Foster compliance culture across organization

Benefits

  • Flexible working environment supporting well-being and inclusion
  • Opportunities for career growth and development
  • Wide array of customizable health benefits including dental and vision
  • Generous paid time off program including holidays and vacation
  • Retirement savings plans with employer matching contributions
  • Employee assistance programs and mental health resources
Full Job Description
Based in Boston, the role of Global Chief Compliance Officer-Manulife Investment Management Private Markets Timberland, Agriculture, and Private Equity Infrastructure has the following three principal responsibilities:

Investment Management Compliance. Responsible for the design and execution of a SEC 206(4)-7 compliance program for Manulife Investment Management Timberland and Agriculture Inc ("MIMTA"). MIMTA investments (managed through various subsidiaries in a variety of jurisdictions) consist primarily of approximately 16 billion of U.S. and non-U.S. farmland and timberland, as well as certain related investments, such as carbon sequestration for timberland and "Plus" assets for farmland. "Plus" assets include investments in operating companies that add value to farmland investments.

MIMTA's clients and investors include U.S. and non-U.S. institutional investors, such as pension plans, corporations, insurance companies, foundations, endowments, and family offices, through separately managed accounts, as well as MIMTA-managed pooled vehicles. MIMTA's investment management and property management operations and supported by approximately 650 employees operating in the United States, Canada, Australia, Brazil, Chile, and New Zealand. Based on assets and acres under management, MIMTA is one of the largest natural capital investment managers in the world.

MIMTA Real Asset Operational Compliance. Responsible for oversight of MIMTA's property management compliance program (health and safety, environmental compliance, farm labor contractors and land-use compliance). MIMTA utilizes affiliated and third-party property management firms to provide day-to-day property management services to its managed investments (close to 6 million acres of timberland and farmland assets). MIMTA's global subsidiary property management companies and their regional offices are used to oversee field operations to ensure that client objectives are carried out.

Private Equity Infrastructure Compliance. Responsible for the design and execution of the Manulife Investment Management Private Equity Infrastructure Group's ("PE Infrastructure Group") compliance program. The program consists of a series of private investment funds investing principally in US infrastructure assets on behalf of external investors and Manulife's General Investment Account. This program is managed through a SEC-registered investment adviser that is separate from MIMTA (the registered investment adviser described above). This portion of the overall role's responsibility is to be the global lead compliance officer for the PE Infrastructure Group. In this role, the employee will report to the 206(4)-7 Chief Compliance Officer of a separate SEC-registered investment adviser legal entity (and solely as it relates to the day-to-day regulated compliance activities of the PE Infrastructure Group).

POSITION RESPONSIBILITIES:

MIMTA Investment Adviser Compliance and Regulatory Oversight (50%)

Provide compliance and ethical leadership and manage a sound Rule 206(4)-7 compliance program for MIMTA, including development and maintenance of policies and procedures, testing, management of regulatory examinations, regulatory change management, training, conflict of interest management, management and oversight committee reporting, and regulatory filings. This role is the Rule 206(4)-7 CCO of MIMTA.
  • Develop, document, and administer policies and procedures to assure they are (and continue to be) reasonably designed to prevent, detect, and promptly correct violations of the federal securities laws as well as other applicable legal regimes.
  • Administer written policies and procedures adopted under Rule 206(4)-7 of the Advisers Act, designed to prevent the violation of federal securities laws, as well as all other applicable laws, rules and regulations.
  • Lead compliance and operational risk alignment through organizational integration, including policy standardization, controls assessment, testing coordination, regulatory change management, escalation protocols and board governance.
  • Collaborate with the General Counsel and senior investment leadership as a core member of the Conflicts Committee and other related governance committees, shaping firm-wide standards for conflict governance, disclosure, and mitigation across timberland, agriculture, and related infrastructure strategies.
  • Serve as the central decision maker in conflict determination, with delegated authority to independently approve or escalate potentially conflicted transactions, including principal, agency, allocation and valuation concerns.
  • Engage frequently with clients and prospects through in-person back-office due diligence meetings addressing compliance framework, risk management, controls and regulatory oversight.
  • Provided matrix reporting compliance oversight of the Chief Compliance Officer of Manulife Investment Management Timberland and Agriculture (Australasia) Pty Limited ("MIMTA AU"), a wholly owned subsidiary of MIMTA, to ensure MIMTA AU's compliance with the registration, internal governance requirements, and compliance obligations consistent with its financial service license issued by the Australian Securities and Investment Commission.


MIMTA Property Management Compliance Program (30%)

Provide compliance and ethical leadership and oversee a sound property management compliance and risk framework. for MIMTA, including its relevant subsidiaries, including development and maintenance of policies and procedures related to the firms operations of timberland and farmland, testing, regulatory change management, training, conflict of interest management, and regulatory filings.
  • Oversee compliance management processes to identify, monitor, escalate, remediate and report compliance issues, operational incidents, regulatory developments and control enhancements.
  • Supervise global licensing, registration and marketing review for more than 50 separately managed accounts and15 private funds and feeder funds domiciled in the U.S., Luxembourg and the Cayman Islands.


MIM Private Equity Infrastructure Compliance Program (10%)

Lead the Manulife Investment Management Private Equity Infrastructure Group's compliance function, including development of the Group's strategic compliance program strategies and the ongoing continuous improvement and execution of the firm's compliance program consistent with regulatory requirements, and Manulife standards.

Support Ethical Conduct and Other Compliance Initiatives (10%)

Works closely with senior management to embed a strong compliance culture and set the tone from the top for all entity officers and employees.

Provide compliance leadership and support for ad hoc and regular Manulife corporate and compliance initiatives, including policy development, oversight committee management, reporting, regulatory change management, internal investigations, and training development.

Develop training and compliance disclosure reporting protocols designed to reinforce a culture of accountability across geographically dispersed business and operations teams.

Bridge communication between operating-company management and Manulife stakeholders, maintaining trust, transparency and appropriate independence while aligning with broader enterprise expectations.

REQUIRED QUALIFICATIONS:

  • A senior compliance leader with investment management experience, practical commercial instincts, and a demonstrable track record of working successfully with investment, operations, finance, legal, and compliance professionals as well as executive leadership and boards of directors. Must be comfortable working in a collegial environment.
  • Substantial experience providing compliance and/or legal support to private markets investment programs.
  • Strong US Securities and Exchange Commission regulatory experience and an understanding of interplay of US investment management requirements with foreign regulatory regimes in order to deliver practical cross-border regulatory compliance solutions. Experience interacting with regulators and auditors (including experience with regulatory examinations).
  • Comfortable managing highly complex compliance matters with minimal supervision and ability to anticipate, monitor, and manage compliance risks resulting from various investment activities.
  • A minimum of 10 years of substantial experience developing, executing, or supporting an US Investment Advisers Act 206(4)-7 compliance program.
  • Familiarity with cross-border distribution issues.
  • Experience in handling real asset property management regulatory/compliance matters is also a plus.


When you join our team:
• We'll empower you to learn and grow the career you want.
• We'll recognize and support you in a flexible environment where well-being and inclusion are more than just words.
• As part of our global team, we'll support you in shaping the future you want to see.

#LI-Hybrid

#LI-JH

The role being advertised is an existing vacancy.

Referenced Salary Location
Boston, Massachusetts

Working Arrangement

Hybrid

Salary range is expected to be between
$152,900.00 USD - $283,800.00 USD

Employees also have the opportunity to participate in incentive programs and earn incentive compensation tied to business and individual performance. The actual salary will vary depending on local market conditions, geography and relevant job-related factors such as knowledge, skills, qualifications, experience, and education/training. If you are applying for this role outside of the primary location, please contact [email protected] for the salary range for your location.

Manulife/John Hancock offers eligible employees a wide array of customizable benefits, including health, dental, mental health, vision, short- and long-term disability, life and AD&D insurance coverage, adoption/surrogacy and wellness benefits, and employee/family assistance plans. We also offer eligible employees various retirement savings plans (including pension/401(k) savings plans and a global share ownership plan with employer matching contributions) and financial education and counseling resources. Our generous paid time off program in the U.S. includes up to 11 paid holidays, 3 personal days, 150 hours of vacation, and 40 hours of sick time (or more where required by law) each year, and we offer the full range of statutory leaves of absence.

About Manulife Financial Corporation

John Hancock's core retail products in the U.S. focus on providing financial solutions at every stage of our clients' lives. Our product suite includes life insurance, mutual funds, 401(k) plans, long-term care (LTC) insurance, and annuities. We distribute our products primarily through licensed financial advisors, and through John Hancock Financial Network, a national network of independent firms.

Manulife Financial Corporation Careers

Join the dynamic team at Manulife Financial Corporation, a leading global financial services group dedicated to helping people make their decisions easier and lives better. With a presence in more than 20 countries, Manulife offers a diverse range of job opportunities that empower professional growth and innovation in the financial sector. Work You’ll Do At Manulife, every position contributes to our inclusive culture of diversity, leadership, and innovation. We are committed to fostering a workplace where every team member feels valued and has the opportunity for personal and professional growth. Join us to be part of a company that values your skills and passion. Explore a Wealth of Opportunities Whether you're seeking your first internship or a seasoned professional aiming to advance your career, Manulife offers a spectrum of career paths ranging from finance and marketing to technology and customer service. Our job opportunities are designed to enhance your skills through robust training programs and hands-on experience in a supportive environment. Innovate with Us Drive transformation in the financial services industry with Manulife’s commitment to technology and innovation. Work alongside over 34,000 professionals globally, leveraging cutting-edge tools and processes that redefine how financial services are delivered. Be Part of a Great Team Manulife’s team-oriented approach ensures that everyone’s voice is heard and valued. Collaborate with talented professionals from diverse backgrounds to develop solutions that improve the lives of our customers. Enjoy the benefits of a global company that supports your ambitions with resources and opportunities to lead and innovate. Future-Proof Your Career Manulife supports your career journey with continuous learning and development opportunities. From leadership training to networking events, we provide the tools to succeed and the platforms to showcase your achievements. Our commitment to career growth ensures that your journey with us will be rewarding and impactful. Stay Connected Join Our Team Discover the range of job opportunities at Manulife by exploring open positions that match your skills and interests. We are always on the lookout for curious, driven, and innovative team players who are ready to make a difference. Keep Up to Date Stay informed with the latest company news, career tips, and industry insights—all from the people who work here. Manulife is dedicated to providing you with the resources to thrive in your career. Job Alert Emails Customize your experience by subscribing to receive job alerts and insider information tailored to your preferences. Learn about exciting and rewarding opportunities as they arise and how you can be a part of our transformative team. Join Manulife Financial Corporation today and be part of a leading company where your career is as rewarding as it is impactful. Explore how far your talents can take you in an environment built on respect, integrity, and a desire to achieve the best outcomes for our clients and our team.
Learn more about Manulife Financial Corporation
Size
38,000 employees
Market Cap
$33.4 billion
Industry
Founded
1887
5 Year Trend
+1%
NASDAQ

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