Associate, Private Equity Compliance at Vista Equity Partners San Francisco, CA

Comunidade Metodista

San Francisco (CA)

On-site

USD 110,000 - 150,000

Full time

3 days ago
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Job summary

Vista Equity Partners seeks a Compliance Analyst or Associate to support its Private Equity Compliance program. The role emphasizes identifying and containing compliance risk, with responsibilities spanning internal testing, regulatory filings, and marketing review.

The candidate should have a background in compliance within registered investment advisers or broker-dealers, strong communication skills, and the ability to work independently or in a team.

Qualifications

  • Bachelor’s Degree required.
  • 3-4 years of compliance or related experience at a registered investment adviser or broker-dealer preferred.
  • Ability to work in a fast-paced and dynamic environment with changing priorities.
  • Excellent written and verbal communication and organizational skills.
  • Strong interpersonal skills and client service mindset.
  • Ability to work independently or in a team with limited supervision.
  • Working knowledge of compliance testing and SEC/FINRA rules is highly desirable.

Responsibilities

  • Conduct ongoing internal testing to assess effectiveness of policies and procedures and identify enhancements.
  • Coordinate with external compliance consultants on reviews and document requests; participate in partner interviews.
  • Assist with regulatory filings, including Form ADV, Form 13F, Form PF, CFTC filings, and proxy voting oversight.
  • Review marketing materials to ensure SEC Marketing Rule compliance; coordinate with investor relations and marketing teams.
  • Assist with SEC examinations and regulatory inquiries, including document collection and drafting responses.
  • Research and analyze regulatory developments relevant to private fund advisers.
  • Perform ad hoc projects to support the Compliance Team.

Skills

Strong communication
Analytical thinking
Time management
Teamwork / collaboration
Client service
Regulatory knowledge (SEC Rule 206(4)-

Education

Bachelor’s Degree

Job description

Associate, Private Equity Compliance job at Vista Equity Partners. San Francisco, CA.

Job Summary

Vista Equity Partners (“Vista”) is seeking to hire a Compliance Analyst or Associate (subject to experience) to support Vista’s Private Equity Compliance program. This individual will proactively assist in identifying and containing compliance risk, foster a business-oriented compliance function, and help the organization embrace compliance.

Successful candidates will possess a high level of personal accountability, a strong work ethic, strong organizational skills, and the ability to work as a part of a team or individually with limited supervision. This is a highly visible and impactful role that will require excellent communication skills and a professional demeanor.

This role is for an immediate start and based in New York, NY or San Francisco, CA.

Responsibilities
  • Conduct ongoing internal testing to assess the effectiveness of Vista’s policies and procedures, identify potential enhancements, and help ensure adherence to regulatory requirements.
  • Coordinate with external compliance consultants on periodic reviews; assist with document requests and participate in interviews with key business partners to provide accurate and thoughtful responses.
  • Support the Compliance Team in preparing and filing required regulatory filings, including Form ADV, Form 13F, Form PF, CFTC filings, etc., as well as assist with proxy voting oversight.
  • Partner with Vista’s investor relations and marketing teams to review and approve marketing materials and social media communications to ensure compliance with the SEC’s Marketing Rule.
  • Assist with SEC examinations and regulatory inquiries, including document collection, coordination across internal teams, and drafting responses.
  • Conduct independent research and analysis on compliance and regulatory developments relevant to private fund advisers.
  • Perform other ad hoc projects and initiatives to support the broader Compliance Team.
Qualifications
  • Bachelor’s Degree
  • 3-4 years of experience in a compliance or related role at a registered investment adviser or broker dealer preferred.
  • Ability to work in a fast-paced and dynamic environment with changing
  • Strong organizational, analytical, written, and verbal communication
  • Excellent interpersonal skills and client service
  • Excellent time management, organization, and prioritization Ability to work as a part of a team or individually with limited supervision is highly essential.
  • Working knowledge of compliance testing, SEC Rule 206(4)-7, and SEC and FINRA marketing rules is also highly desired.

The pay range for this role is expected to be between $110,000 - $150,000. Actual base pay could vary based on factors including but not limited to experience, subject matter expertise, geographic location where work will be performed and the applicant’s skill set. The base pay is just one component of the total compensation package for employees. Other components may include an annual cash bonus and a comprehensive benefits package.

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