Compliance Director, Global Private Equity | Boston (hybrid)

Origin Staffing

Boston (MA)

Hybrid

USD 120,000 - 180,000

Full time

14 days+
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Job summary

Origin Staffing in Boston is seeking a senior compliance professional to partner with investment and trading teams across credit-focused private funds. The role offers high-visibility exposure to global regulatory matters and a chance to influence policy under experienced leadership.

Ideal candidates have 6+ years in compliance with investment adviser exposure, strong knowledge of the 1940 Act, Form ADV, Form PF, and a collaborative, detail-oriented mindset in a fast-paced environment.

Qualifications

  • 6+ years in compliance or legal roles, investment adviser experience preferred.
  • Deep understanding of the 1940 Act, credit vehicles, private fund structures.
  • Strong knowledge of Form ADV, Form PF, and related reporting obligations.

Responsibilities

  • Serve as the go-to compliance partner for credit-focused private and registered funds.
  • Advise on trading compliance and restricted list protocols.
  • Lead regulatory filings including Form ADV, Form PF, and board/investor reporting.
  • Help shape policies and strengthen the overall compliance framework.
  • Participate in exams, testing, and cross-functional compliance initiatives.

Skills

6+ years in compliance
Investment adviser exp
Form ADV knowledge
Form PF knowledge
Regulatory reporting

Job description

Location: Boston, MA | Hybrid (3 days onsite)

Join a global investment firm with a long-standing reputation for excellence across private equity, credit, and alternative investments. This is a high-visibility role supporting the firm’s Capital Markets platform—with growing exposure to some of the most dynamic and in-demand investment products in the market today.

What Makes This Role Unique:

This is more than a compliance position—it’s a chance to build your brand under thoughtful, tenured leadership that prioritizes mentorship and long-term growth. The compliance team is collaborative, high-impact, and well-integrated with the business. As a key compliance partner to investment and trading teams, you’ll gain exposure across a wide range of global products and regulatory frameworks—with direct visibility into new, high-growth areas like private credit, evergreen funds, and non-traded BDCs.

Why Now:

Private credit is one of the fastest-growing asset classes in the industry, and this team is at the center of it. With new products launching across Europe, Asia, and Australia, you'll gain hands‑on experience navigating complex global regulatory environments—a rare and valuable career accelerant.

What You’ll Do:
  • Serve as the go‑to compliance partner for credit‑focused private and registered funds
  • Advise on trading compliance and restricted list protocols
  • Lead regulatory filings including Form ADV, Form PF, and board/investor reporting
  • Help shape policies and strengthen the overall compliance framework
  • Participate in exams, testing, and cross‑functional compliance initiatives
What We’re Looking For:
  • 6+ years in compliance or legal roles (investment adviser experience strongly preferred)
  • Deep understanding of 1940 Act, credit vehicles, and private fund structures
  • Strong working knowledge of Form ADV, Form PF, and related reporting obligations
  • Clear communicator with sharp attention to detail and a collaborative mindset
  • Able to operate in a fast‑paced, high‑accountability environment with discretion
Why Apply:
  • Join a respected, tight‑knit compliance team with meaningful cross‑functional exposure
  • Competitive comp and long‑term profit‑sharing structure
  • A clear career path—this is a team known for promoting from within
  • Access to new, innovative product types and complex global regulatory work
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