VP of Investment Guideline Compliance

Tidal Financial Group

$140K — $160K *
US-AnywhereRemote in United States
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree required.
  • 5-10 years experience in a similar role at an investment management firm.
  • Excellent organizational, verbal and written communication, and interpersonal skills.
  • Ability to manage multiple projects simultaneously.
  • Capacity to work independently and collaboratively under deadlines.
  • Strong computer skills, especially in Microsoft Word; ability to learn new software quickly.
  • Working knowledge of SEC rules and regulations for mutual funds and ETFs is preferred.

Responsibilities

  • Review fund prospectuses and develop compliance rules in Bloomberg AIM.
  • Monitor daily trade order management exception reports for investment guideline adherence.
  • Identify and communicate compliance violations to trading and investment teams promptly.
  • Collaborate to ensure compliance with the Investment Company Act and other regulations.
  • Enhance internal compliance systems for trade monitoring and rule implementation.

Benefits

  • Opportunity to work in a dynamic compliance team.
  • Engagement with both trading and investment management departments.
  • Potential for professional growth in a leading investment firm.
  • Focus on enhancing compliance systems and processes.
Full Job Description
About the role

The primary responsibility of the VP, Investment and Trading Compliance is to join the compliance team that handles the establishment of controls in Bloomberg AIM to ensure adherence to investment limits and restrictions included in ETF disclosure documents for ETFs sponsored by Tidal Investments. The scope of this role will span the full lifecycle of the trading compliance process-from the implementation of investment policies in fund disclosure documents into the Bloomberg AIM system through to pre- and post-trade compliance monitoring. A critical aspect will be the pre-trade compliance review and Bloomberg AIM system rules / validations.

What you'll do

  • Review fund prospectuses and Statements of Additional Information (SAIs) to develop compliance rules within Bloomberg AIM and internal order management systems.
  • Monitor and test daily trade order management exception reports to ensure adherence to investment guidelines.
  • Identify and communicate compliance violations to the trading and investment management teams in a timely manner.
  • Collaborate across departments to maintain compliance with the Investment Company Act, Internal Revenue Code, and other applicable laws and regulations.
  • Support the ongoing enhancement of internal compliance systems and processes related to trade monitoring and rule implementation.

Qualifications

  • Bachelor's degree required.
  • Five to 10 years of direct experience in a comparable role at an investment management firm.
  • Energetic self-starter with excellent organizational, communication (verbal and written), interpersonal, and drafting skills.
  • Proven ability to manage and prioritize multiple projects simultaneously.
  • Demonstrated capacity to work both independently and collaboratively under tight deadlines.
  • Strong computer proficiency, including advanced typing skills and deep familiarity with Microsoft Word; ability to quickly learn and adapt to new software and processes.
  • Working knowledge of SEC rules and regulations applicable to mutual funds and ETFs is preferred.

We are prioritizing candidates who are located within proximity to Chicago, IL; Milwaukee, WI; New York City, NY; and West Palm Beach, FL.

The pay range for this role is:

140,000 - 160,000 USD per year (Remote (United States))

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