Regulatory and Compliance, Registered Funds - Senior Vice President

iCapital

$190K — $225K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree required; JD is a plus
  • Series 7 and 24 licenses mandatory
  • 10+ years of experience, preferably in Registered Funds and Investment Advisers
  • Strong knowledge of key securities regulations and compliance frameworks
  • Experience with EDGAR filings for registered investment companies
  • Excellent interpersonal and leadership capabilities
  • Highly organized, detail-oriented, and adaptable
  • Proficient in MS Excel and Word.

Responsibilities

  • Maintain expert knowledge of 1940 Act and IAA regulations
  • Monitor regulatory developments affecting Registered Funds
  • Provide compliance leadership and support for fund initiatives
  • Advise on product structuring and regulatory compliance
  • Lead compliance efforts for product launches and changes
  • Translate regulatory requirements into policies and controls
  • Oversee compliance obligations and regulatory filings
  • Conduct compliance testing and reporting.

Benefits

  • Equity for all full-time employees
  • Annual performance bonus
  • Employer matched retirement plan
  • Extensive healthcare benefits with 100% employer-paid dental and vision
  • Telemedicine and virtual mental health counseling support
  • Parental leave policy
  • Unlimited paid time off (PTO)
  • Flexible work arrangement with remote options on Fridays.
Full Job Description
About the Role

iCapital is seeking a Senior Vice President to join its Regulatory and Compliance team to manage iCapital's registered 1940 Act product compliance program. This role will work closely with the senior portfolio management, business, Regulatory and Compliance, and the Legal team members on a variety of compliance matters focused on registered funds including assisting with new fund initiatives, improving policies and procedures, implementing and maintaining testing programs, reviewing marketing materials, and overseeing regulatory reporting. The ideal candidate has experience managing a team and is highly organized, willing to learn new things, collaborative, detail-oriented, and possesses excellent interpersonal and communication skills.
Responsibilities
  • Maintain expert knowledge of the Investment Company Act of 1940 (1940 Act) and the Investment Advisers Act of 1940 (IAA) and rules and regulations applicable to 1940 Act Registered Funds and investment advisers to 1940 Act Registered Funds (Investment Advisers).
  • Monitor and advise on regulatory developments affecting Registered Funds and Investment Advisers, including valuation, liquidity, affiliation, and related rulemaking.
  • Provide compliance leadership and support for Registered Funds initiatives, including identifying regulatory risks and developing practical solutions.
  • Advise the Product, Portfolio Management, Operations teams and other stakeholders on product structuring, operations, investment strategies, disclosures and regulatory compliance under the 1940 Act and the IAA.
  • Lead compliance efforts for Registered Funds launches and product changes from concept through effectiveness and post launch execution.
  • Translate regulatory requirements and fund governing documents into scalable policies, procedures, and compliance controls.
  • Oversee product specific compliance obligations, including disclosure monitoring, trade error resolution and regulatory filings.
  • Conduct pre and post trade compliance testing and monitoring, portfolio guideline testing, and issue resolution.
  • Perform compliance testing, reporting, and remediation tracking to ensure timely resolution of issues.
  • Oversee and coordinate compliance reviews of third-party service providers, including administrators, custodians, legal counsel, and auditors.
Qualifications
  • Bachelor's degree is required
  • JD is a plus but not required
  • Series 7 and 24 licenses are required
  • 10+ years of experience, preferably with both Registered Fund and registered Investment Adviser experience
  • Strong knowledge of the Investment Company Act of 1940, the Investment Advisers Act of 1940, Securities Act of 1933 and Securities Exchange Act of 1934, as well as SEC Rule 482, and applicable FINRA rules including FINRA Rule 2210
  • Experience with registered investment company EDGAR filings including shareholder reports (N-CSR) and tender offers (SC TO-I)
  • Strong interpersonal and leadership skills
  • Willingness to learn new topics and work in an evolving business environment
  • Organized and detailed oriented with big picture capability
  • Proficient in MS Excel and Word
Benefits

The base salary range for this role is $190,000 to $225,000. 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.

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