Compliance Associate

Metric

New York (NY)

On-site

USD 110,000 - 160,000

Full time

2 hours ago
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Job summary

Metric, a leading global investment firm, invites a Compliance Associate to join its New York Legal & Compliance team. The role centers on the Code of Ethics and the employee compliance program within a sophisticated asset management environment.

Ideal candidates have 2–5 years of relevant compliance experience in financial services, preferably at an asset manager, hedge fund or private equity firm, and can work independently while collaborating with colleagues across Legal and Compliance.

Qualifications

  • Approximately 2–5 years of relevant compliance experience within financial services.
  • Experience within asset manager, hedge fund, or private equity environment strongly preferred.
  • Familiarity with Code of Ethics and employee compliance matters, including personal trading.
  • Knowledge of Restricted Lists, MNPI controls, and employee certifications/disclosures.
  • Comfortable handling sensitive information and working independently with colleagues across Legal and Compliance.

Responsibilities

  • Support administration and ongoing monitoring of Code of Ethics and employee compliance program.
  • Review and monitor employee Personal Account Dealing / Personal Trading activity.
  • Monitor employee brokerage accounts, holdings and transaction reporting.
  • Maintain and review Restricted Lists and Watch Lists, including MNPI matters.
  • Assist with identification, escalation and documentation of potential Code of Ethics breaches, exceptions and policy violations.
  • Review employee political contributions and support compliance with applicable pay‑to‑play requirements and internal policies.
  • Coordinate periodic employee certifications, attestations and disclosures.
  • Review and monitor employee outside business activities, conflicts of interest and other relevant disclosures.
  • Assist with compliance testing, monitoring and periodic reviews of internal policies and procedures.

Skills

Code of Ethics
Regulatory knowledge

Job description

Function: Legal & Compliance

Level: Associate

The Opportunity

A leading global investment firm is looking to add a Compliance Associate to its New York Legal & Compliance team.

This is a broad-based compliance position with a particular focus on the firm’s Code of Ethics and employee compliance program.

The successful candidate will work closely with members of the Legal & Compliance team and gain exposure to a range of regulatory and compliance matters within a sophisticated alternative investment management environment.

The role would suit someone with 2–5 years of relevant compliance experience who has worked within an asset manager, hedge fund, private equity firm or similar investment management business.

Key Responsibilities
  • Support the administration and ongoing monitoring of the firm’s Code of Ethics and employee compliance program.
  • Review and monitor employee Personal Account Dealing / Personal Trading activity, including pre-clearance requests and potential conflicts.
  • Monitor employee brokerage accounts, holdings and transaction reporting to ensure adherence to internal policies.
  • Maintain and review Restricted Lists and Watch Lists, including matters relating to Material Non-Public Information (MNPI).
  • Assist with the identification, escalation and documentation of potential Code of Ethics breaches, exceptions and policy violations.
  • Review employee political contributions and support compliance with applicable pay‑to‑play requirements and internal policies.
  • Coordinate periodic employee certifications, attestations and compliance disclosures.
  • Review and monitor employee outside business activities, conflicts of interest and other relevant disclosures.
  • Assist with compliance testing, monitoring and periodic reviews of internal policies and procedures.
Candidate Profile
  • Approximately 2–5 years of relevant compliance experience within financial services.
  • Experience working within an asset manager, hedge fund, private equity firm or other investment management environment strongly preferred.
  • Practical experience with Code of Ethics and employee compliance matters, ideally including personal trading / Personal Account Dealing.
  • Familiarity with Restricted and Watch Lists, MNPI controls, employee brokerage accounts, political contributions and employee certifications/disclosures.
  • Experience identifying, reviewing and escalating compliance breaches or exceptions.
  • Understanding of the regulatory environment applicable to SEC‑registered investment advisers is beneficial.
  • Comfortable handling sensitive and confidential information.
  • Able to work independently while collaborating closely with colleagues across Legal, Compliance and the wider business.
What the Role Offers

This is an opportunity to join the New York Legal & Compliance function of an established global investment firm and develop broader investment management compliance experience.

The successful candidate will have significant exposure to the firm's Code of Ethics and employee compliance framework while also supporting wider regulatory, monitoring and compliance initiatives across the business.

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