A company is looking for a Chief Compliance Officer.
Key Responsibilities
Manage investment advisory compliance program in accordance with the Investment Adviser Act of 1940
Conduct regulatory risk assessments and develop compliance policies and procedures
Oversee compliance training, regulatory filings, and lead examinations by external parties
Required Qualifications
Significant experience in investment advisory compliance programs and systems
Detailed knowledge of the Investment Advisers Act of 1940 and ERISA
Minimum of 15 years in the investment management industry, with at least 5 years in a senior compliance role
Four-year college degree; JD or advanced degree preferred
Experience with technology in compliance testing and investment advice delivery
Chief Compliance Officer • Saint Paul, Minnesota, United States