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Chief Compliance Officer

Cardea Group

New York (NY)

On-site

USD 100,000 - 135,000

Full time

9 days ago

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Job summary

A leading private equity fund in New York is seeking a Chief Compliance Officer to enhance its compliance program. The role offers an exciting opportunity for a seasoned professional to oversee compliance matters, drive policy development, and engage closely with executive leadership. Ideal candidates will have extensive experience in real estate or private equity compliance, and a solid understanding of SEC regulations.

Benefits

Medical insurance
Vision insurance
401(k)
Paid maternity leave
Paid paternity leave
Disability insurance

Qualifications

  • 10+ years of compliance experience in real estate or private equity.
  • Strong understanding of SEC regulations and frameworks.
  • Detail-oriented and organized with the ability to handle multiple projects.

Responsibilities

  • Oversee all compliance functions and manage SEC filings.
  • Develop and enforce compliance policies and conduct reviews.
  • Collaborate with senior leadership to mitigate risks.

Skills

Compliance Oversight
Regulatory Knowledge
Risk Management
Communication
Attention to Detail

Education

Bachelor’s degree

Job description

Chief Compliance Officer (New York, NY): Our client, a private equity fund with over $5B+ in AUM and a focus on real estate investments, is seeking a CCO to join their team. This role presents an exciting opportunity for a compliance professional with robust experience in real estate or private equity to take on a leadership role and continue to build out the firm’s compliance program. The new hire will be responsible for overseeing all compliance matters, filings, and fostering the culture of compliance while working closely with executive leadership.

Key Points:

  • Opportunity to step into a #1 role for a cohesive and dynamic fund.
  • Leadership role with a seat at the table and a strong culture of compliance.
  • Successful and stable fund with sizeable assets and proven track record.

Responsibilities:

  • Oversee all compliance functions to prevent and protect against risk and support the firm’s business, including communication of policy changes, annual and ad hoc compliance trainings.
  • Manage SEC filings to include Form ADV, Form PF, and any other necessary submissions.
  • Develop, review, and uphold compliance policies for the investment advisory business based on regulatory requirements, industry best practices, and the existing Compliance Manual and Code of Ethics.
  • Organize and oversee compliance reviews, mock audits, and regulatory examinations.
  • Manage external compliance consultants to ensure effective partnership.
  • Monitor all investment transactions to ensure compliance with relevant regulatory policies.
  • Provide regulatory review of all marketing materials and investor communications.
  • Partner with senior leadership to mitigate potential risks and advise on new regulatory requirements to find alignment between the compliance program and business goals.

Qualifications:

  • 10+ years of experience in regulatory or compliance in a real estate or private equity fund.
  • Bachelor’s degree in a related field, JD or other advanced degree preferred but not required.
  • Strong preference for experience in the real estate industry.
  • Strong understanding of SEC regulations and frameworks, to include this Investment Advisers Act and laws and requirements relevant to private funds
  • Self-motivated, detail-oriented, organized, and highly communicative with the ability to handle multiple projects.

Job Reference #3157385

Seniority level
  • Seniority level
    Executive
Employment type
  • Employment type
    Full-time
Job function
  • Job function
    Administrative and Legal
  • Industries
    Investment Management and Real Estate

Referrals increase your chances of interviewing at Cardea Group by 2x

Inferred from the description for this job

Medical insurance

Vision insurance

401(k)

Paid maternity leave

Paid paternity leave

Disability insurance

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