Compliance Associate

New York, New York Permanent USD100,000 - USD140,000 per year View Job Description
The Compliance Analyst (AVP Level) will play a key role in ensuring adherence to regulatory requirements within the financial services industry. Based in New York, this role supports the Risk & Compliance department by monitoring compliance programs and identifying areas for improvement.
  • Build expertise across RIA and broker-dealer compliance programs.
  • Gain broad exposure to alternative investments and regulators.

About Our Client

A company within the financial services industry, located in New York.

Job Description

Key ResponsibilitiesMarketing, Communications & Regulatory Oversight

  • Review marketing materials, investor communications, and promotional content to verify compliance with SEC and FINRA requirements.
  • Perform supervisory approval and oversight of marketing materials upon obtaining the appropriate licensing credentials.
  • Monitor inbound and outbound communications across various channels and maintain documentation supporting compliance reviews.
  • Oversee electronic communication surveillance activities, including maintenance of monitoring parameters, keyword libraries, and review protocols.



Employee Compliance & Monitoring

  • Administer employee compliance programs through designated compliance systems and tools.
  • Monitor personal securities transactions, outside business activities, political contribution disclosures, gifts and entertainment reporting, and other employee compliance obligations.
  • Investigate exceptions and escalate potential compliance concerns as appropriate.
  • Respond to employee inquiries regarding firm policies and regulatory requirements.



Regulatory Filings & Registration Management

  • Support regulatory filing processes, including the preparation, review, and submission of required forms and disclosures.
  • Assist with maintaining broker-dealer registrations and associated regulatory records.
  • Coordinate registration-related activities, licensing requirements, and continuing education obligations for registered personnel.
  • Maintain accurate compliance records and documentation in accordance with regulatory standards.



Compliance Testing & Program Administration

  • Participate in annual compliance reviews and testing designed to assess the effectiveness of the firm's compliance and supervisory programs.
  • Assist with regulatory risk assessments, monitoring activities, and control evaluations.
  • Support the development, maintenance, and enhancement of compliance policies, procedures, and internal controls.
  • Contribute to ongoing compliance initiatives and process improvement efforts.



Anti-Money Laundering & Financial Crime Compliance

  • Support anti-money laundering compliance activities across the advisory and broker-dealer businesses.
  • Conduct OFAC screening, Know Your Customer (KYC) reviews, and related due diligence procedures.
  • Assist in identifying, investigating, and escalating potentially suspicious activity.
  • Help maintain compliance with applicable AML and financial crimes regulations.



Regulatory Examinations, Training & Cross-Functional Support

  • Assist in coordinating responses to regulatory examinations, audits, and information requests from internal and external parties.
  • Deliver compliance training programs and onboarding sessions for employees.
  • Partner with teams across marketing, portfolio management, operations, risk, and other business functions to support regulatory compliance initiatives.
  • Participate in special projects and perform additional compliance-related responsibilities as needed.



MPI does not discriminate on the basis of race, color, religion, sex, sexual orientation, gender identity or expression, national origin, age, disability, veteran status, marital status, or based on an individual's status in any group or class protected by applicable federal, state or local law. MPI encourages applications from minorities, women, the disabled, protected veterans and all other qualified applicants.

MPI does not discriminate on the basis of race, color, religion, sex, sexual orientation, gender identity or expression, national origin, age, disability, veteran status, marital status, or based on an individual's status in any group or class protected by applicable federal, state or local law. MPI encourages applications from minorities, women, the disabled, protected veterans and all other qualified applicants.

The Successful Applicant

Qualifications

  • Bachelor's degree required; advanced degree preferred.
  • Minimum of 3 years of compliance experience within an investment adviser, asset management, or broker-dealer environment.
  • Strong understanding of U.S. securities regulations impacting investment advisers and broker-dealers.
  • Series 7 and Series 63 licenses required or obtainable within six months; Series 24 required or obtainable within twelve months.
  • Familiarity with regulatory filings such as Form ADV, Form PF, and Form BD.
  • Excellent communication, organizational, and analytical skills.
  • Ability to build strong working relationships across business functions and manage multiple priorities in a fast-paced environment.
  • Self-motivated, collaborative professional with a strong interest in alternative investments and regulatory compliance.



What's on Offer

  • Competitive salary ranging from $100,000 to $140,000 USD.
  • Permanent position based in New York.



Interested? Apply today.

Contact
Connor Duenas
Quote job ref
JN-062026-7041783

Job summary

Sector
Financial Services
Sub Sector
Compliance & Legal
Industry
Financial Services
Where
New York
Contract Type
Permanent
Consultant name
Connor Duenas
Job Reference
JN-062026-7041783
 

Michael Page is an inclusive employer. We want to make sure you have everything you need to perform at your best throughout our hiring process, so please let us know if there is anything we can do to support with your application or interview.