KEY FUNCTIONS / RESPONSIBILITIES:
• Collaborate on the development, implementation and management of the firm’s compliance function.
• Assist with the firm’s internal annual compliance review.
• Perform reviews of advertising materials.
• Assist on regulatory exams and respond to compliance-related inquiries.
• Perform work related to periodic SEC and FSA filings.
• Assist with monitoring and implementation of guideline compliance.
• Perform duties related to client compliance reporting.
• Participate in the drafting/revising of compliance policies and procedures, including a comprehensive compliance manual.
• Assist with in-house reviews to test compliance policies and procedures.
• Assist with preparation and filing of Form ADV.
• Handle special projects as requested.
QUALIFICATIONS - Candidates must have these to be considered:
• An undergraduate degree with a preferred major in business, finance, economics or related field.
• Five or more years of investment advisory compliance experience (fixed income experience preferred). Experience must include monitoring portfolio compliance issues and work related to advertising reviews.
• Familiarity with Bloomberg and proficiency in Microsoft Excel, Word and Outlook.
• Excellent communication and interpersonal skills.
• Strong organizational skills and attention to detail.
• Ability to work well in a fast-paced environment that requires prioritizing, performing with accuracy and meeting tight deadlines.