A US-based investment firm, managing approximately $10 billion in assets, is seeking a Compliance Analyst/Manager with 2-5 years of experience in finance compliance to join their team in Boston. Founded in 2004, the firm serves institutional investors, including sovereign wealth funds and endowments, with a focus on alternative investment strategies. The firm values a culture of respect, integrity, and excellence.
The Compliance Analyst/Manager will support the firm's compliance program, focusing on relationship management and business development. This role reports directly to the CCO and involves collaboration across multiple teams, with visibility to senior management.
Requirements
- Bachelor's degree with 3-5+ years of compliance experience, preferably with private fund advisors.
- Experience in compliance testing and marketing material review.
- Strong written, verbal, and interpersonal communication skills.
- Ability to work independently and in a team, with high initiative and problem-solving skills.
Please note that Visa sponsorship can be offered for this role.