- Lead or Support an entire sales cycle; pitches, proposals, follow-ons and general contract terms
- Lead or support a large portfolio of clients as the primary day-to-day oversight resource
- Have deep familiarity for practical compliance and regulatory matters relating to SEC (e.g. investment advisor) CFTC / NFA and FINRA (e.g. broker-dealer) rules, and other regulators where applicable
- Have familiarity with various regulatory mock examination audits, including documentation requests, onsite reviews / interviews and drafting reports
- Have the ability to lead clients on developing all relevant policies and procedures relating to compliance manuals, code of ethics and other areas documented within the business
- Demonstrate the ability to lead on with compliance protocols and training regarding use of expert networks / MNPI, marketing, personal trading, electronic communications surveillance, best execution, SEC reviews, etc.
- Anticipate client regulatory risks and expectations, focus resources on the necessary tasks that need completion (without compromising quality or other client deliverables)
- Be up to date on current regulatory developments and abreast of new developments on the horizon
- Experience with Financial Conduct Authority (FCA) or other global regulators a plus
- Undergrad degree required from an accredited college or university, J.D. or Advanced degree a plus
- 6-8 years of total industry experience working at one or more asset managers (in-house), law firm (paralegal), advisory
- services firm or ex. regulator
- Strong inter-personal skills, ability to independently (or as part of a team) work on-site at a client office
- Excellent written and verbal communication skills
- Independent, self–starter, entrepreneurial mind-set, as well as collaborative problem solver
- Strong analytical and research skills
- Ability to multi-task and prioritize across a range of projects with constantly shifting priorities in a team environment
- Ability to master new tasks quickly and effectively
- Must have the ability to start with limited restrictions
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Associate Director of Compliance - New York, United States - Optima Partners Holdings LLC
Description
Job Description
Job DescriptionOptima Partners is looking for a Senior Associate of Compliance or Associate Director of Compliance to have senior oversight of client regulatory compliance matters for some or all of the following: asset managers, hedge funds, private equity, real-estate clients, banks and broker-dealers.
Considered candidates for these compliance roles will:
SENIOR ASSOCIATE OF COMPLIANCE OR ASSOCIATE DIRECTOR OF COMPLIANCE REQUIREMENTS:
Optima Partners is committed to providing equal opportunities in employment. We will not discriminate between applications for reason of gender, gender identity, race, religion, color, nationality, ethnic origin, sexual orientation, marital status, veteran status age or disability.
About Optima Partners
Optima Partners is a leading global regulatory compliance advisory firm providing proactive and in-depth regulatory solutions built to meet a clients' individual needs. Optima Partners' unrivalled expertise in the global regulatory landscape, strong relationships with regulators, and a deep commitment to provide clear and practical advice gives clients the services they need to meet the demands of a complex and dynamic financial regulatory environment. The firm currently advises more than 800 clients across its global offices in New York, Chicago, San Francisco, London and Hong Kong. For more information on Optima Partners, go to the firm's website at