Compliance Officer

Larson Maddox

Alpharetta (GA)

On-site

USD 140,000 - 190,000

Full time

14 days+
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Job summary

Larson Maddox in Alpharetta, GA seeks a Compliance professional to strengthen its regulatory framework during a period of growth. The role involves partnering with senior leadership to oversee compliance across private credit, fund operations, investor communications, governance and regulatory reporting.

The ideal candidate has strong knowledge of the Investment Advisers Act and private fund regulations, with experience supporting SEC examinations and Form ADV/Form PF programs.

Qualifications

  • 5-10 years of compliance experience in private credit or private fund management.
  • Strong knowledge of the Investment Advisers Act of 1940 and private fund regs.
  • Experience supporting SEC examinations, audits and filings.
  • Background with Form ADV, Form PF, and adviser compliance programs.
  • Experience developing compliance monitoring, testing and risk assessment programs.

Responsibilities

  • Oversee compliance across private investment strategies, fund operations, investor communications, governance and regulatory reporting.
  • Partner with senior leadership to balance regulatory requirements with business objectives.
  • Review marketing materials, investor disclosures and third-party service provider oversight.
  • Support multi-jurisdictional regulatory frameworks and third-party oversight.

Skills

Regulatory expertise
Private credit knowledge
SEC examinations
Form ADV/Form PF
Monitoring & testing programs
Governance & disclosures
Cross-functional collaboration
Written communication

Education

Bachelor's degree
JD / MBA / CFA / CRCP

Job description

A growing alternative investment firm is seeking a Compliance professional to support and enhance its regulatory framework during a period of continued expansion. Working closely with senior leadership, this individual will help oversee compliance activities across private investment strategies, fund operations, investor communications, governance, and regulatory reporting. The role offers broad exposure across the business and is ideal for a compliance professional who combines strong regulatory expertise with a practical, solutions-oriented approach. Particular emphasis is placed on supporting private credit, asset-backed finance, and other private fund structures within a fast-paced and entrepreneurial environment.

Key Requirements
  • 5-10 years of compliance experience within private credit, asset-backed finance (ABF), private equity, hedge funds, or alternative asset management.
  • Strong knowledge of the Investment Advisers Act of 1940 and private fund regulations.
  • Experience supporting SEC examinations, audits, and regulatory filings.
  • Background with Form ADV, Form PF, and adviser compliance programs.
  • Experience developing compliance monitoring, testing, and risk assessment programs.
  • Familiarity with private fund operations, fundraising, investor due diligence, and fund launches.
  • Knowledge of Code of Ethics administration, personal trading surveillance, and employee compliance certifications.
  • Experience reviewing marketing materials, investor communications, and regulatory disclosures.
  • Understanding of KYC/AML, governance, and operational compliance requirements.
  • Exposure to multi-jurisdictional regulatory frameworks and third-party service provider oversight.
  • Ability to partner with investment, operations, finance, legal, and investor relations teams.
  • Strong written communication, organizational skills, and attention to detail.
  • Proven ability to balance regulatory requirements with business objectives in a fast-growing environment.
  • Bachelor's degree required; JD, MBA, CFA, CRCP, or similar credentials are a plus.
  • Direct experience supporting private credit, direct lending, structured credit, specialty finance, ABF, or other private fund strategies strongly preferred.
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