Regulatory and Compliance, ERISA - Senior Vice President

iCapital

$190K — $230K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree required; J.D., MBA, or other advanced degree preferred
  • 10+ years in investment adviser, asset management, retirement, ERISA, legal, or compliance roles
  • In-depth knowledge of ERISA fiduciary standards and Department of Labor regulations
  • Familiarity with collective investment trusts (CITs) and institutional asset management
  • Proven track record in developing compliance programs and governance processes
  • Strong analytical, communication, and problem-solving abilities
  • Experience with QPAM compliance programs and exemptions

Responsibilities

  • Develop and enhance ERISA compliance policies and monitoring programs
  • Provide regulatory guidance on fiduciary duties and plan-asset rules
  • Advise stakeholders on investment product implications and operational processes
  • Monitor legal developments from regulatory authorities and assess impacts
  • Conduct risk-based compliance reviews for ERISA-related activities
  • Implement testing protocols and issue-management processes
  • Oversee QPAM exemption compliance and maintain testing programs

Benefits

  • Equity for all full-time employees
  • Employer matched retirement plan
  • 100% employer paid dental and vision
  • Telemedicine and virtual mental health counseling
  • Parental leave
  • Unlimited paid time off (PTO)
  • In-office work Monday-Thursday with remote flexibility on Friday
Full Job Description
About the Role

The Senior Vice President of ERISA Compliance is responsible for leading iCapital's enterprise-wide compliance program relating to the Employee Retirement Income Security Act of 1974 (ERISA), Department of Labor (DOL) regulations, prohibited transaction exemptions, and Qualified Professional Asset Manager (QPAM) compliance requirements. This role serves as the primary subject matter expert for ERISA-related regulatory obligations impacting iCapital's registered investment advisers, collective investment trusts (CITs), retirement-focused investment products, and retirement-plan clients.

This individual will partner closely with Legal, Product, Operations, Finance, Investment Management, and Distribution teams to develop and maintain policies, procedures, testing programs, training, and governance frameworks designed to ensure compliance with ERISA fiduciary standards and QPAM exemption requirements. This SVP will play a key role in regulatory examinations, new product launches, and transaction reviews.

Responsibilities

ERISA Compliance Oversight
  • Work with the Registered Funds CCO to develop, maintain, and enhance ERISA compliance policies, procedures, controls, and monitoring programs.
  • Provide regulatory guidance regarding fiduciary duties, plan-asset rules, prohibited transactions, party-in-interest restrictions, and applicable exemptions.
  • Advise business stakeholders on ERISA implications of investment products, distribution activities, service arrangements, and operational processes.
  • Monitor legal and regulatory developments from the Department of Labor, IRS, SEC, and other regulatory authorities and assess impacts on the business.
  • Design and administer risk-based compliance reviews relating to ERISA and retirement-plan business activities.
  • Implement monitoring programs, testing protocols, certifications, and issue-management processes.

QPAM Compliance Program Management
  • Oversee the firm's ongoing compliance with the Qualified Professional Asset Manager (QPAM) Exemption and related requirements.
  • Maintain and execute QPAM monitoring and testing programs, including annual and periodic certifications.
  • Coordinate reviews of QPAM eligibility criteria, including assets under management, shareholder equity, affiliate requirements, and integrity standards.
  • Establish and maintain documentation evidencing compliance with QPAM conditions and regulatory requirements.
  • Partner with Legal and business stakeholders regarding transactions that may rely on the QPAM exemption or other prohibited transaction exemptions.

Qualifications
  • Bachelor's degree required; J.D., MBA, or other advanced degree is preferred
  • 10+ years of experience in investment adviser, asset management, retirement, ERISA, legal, or compliance functions
  • Deep knowledge of ERISA fiduciary standards, prohibited transaction rules, and Department of Labor regulations
  • Familiar with collective investment trusts (CITs), private funds, alternative investments, and institutional asset management
  • Experience developing compliance programs, controls, testing frameworks, and governance processes.
  • Strong analytical, communication, and problem-solving skills
  • Experience with QPAM compliance programs and prohibited transaction exemptions

Benefits

The base salary range for this role is $190,000 to $230,000. iCapital offers a compensation package which includes salary, equity for all full-time employees, and an annual performance bonus. Employees also receive a comprehensive benefits package that includes an employer matched retirement plan, generously subsidized healthcare with 100% employer paid dental, vision, telemedicine, and virtual mental health counseling, parental leave, and unlimited paid time off (PTO).

We believe the best ideas and innovation happen when we are together. Employees in this role will work in the office Monday-Thursday, with the flexibility to work remotely on Friday.

For additional information on iCapital, please visit https://www.icapitalnetwork.com/about-us Twitter: [redacted] | LinkedIn: https://www.linkedin.com/company/icapital-network-inc | Awards Disclaimer: https://www.icapitalnetwork.com/about-us/recognition/

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