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The HT Group is partnering with an independent wealth advisory firm to recruit a Compliance Officer for a Registered Investment Advisor environment. This role reports to the Chief Compliance Officer and oversees day-to-day regulatory compliance, including testing, policy administration, and vendor oversight.
The successful candidate will bring deep knowledge of U.S. securities laws, a track record in RIAs, and the ability to translate complex regulations into practical guidance for teams across
Employment Type: Full-Time
Industry: Wealth Management / Registered Investment Advisor
The HT Group is partnering with a growing independent wealth advisory firm serving ultra-high-net-worth clients to find an experienced Compliance Officer to join its team.
Reporting directly to the firm's Chief Compliance Officer, this individual will take an active role in the day-to-day administration and continued development of the firm's regulatory compliance program. The position provides broad exposure across investment advisory compliance, portfolio and asset management, alternative investments, client reporting, and the firm's proprietary investment vehicles.
This is an opportunity for an experienced RIA compliance professional to step into a highly visible role with direct access to senior leadership and meaningful responsibility across the firm's compliance function.
The strongest candidate will bring a combination of technical RIA compliance expertise and practical business judgment.
This role requires someone comfortable moving between regulatory testing, policy administration, investment-product review, employee compliance, vendor oversight, and questions coming directly from different areas of the business. You'll need to understand the regulatory requirements while also being able to translate them into practical guidance for colleagues outside of compliance.
We're looking for someone who is organized, accountable, collaborative, and comfortable taking ownership rather than waiting for issues to be brought to their attention.
This is not a narrowly defined compliance monitoring position. The Compliance Officer will have exposure to a broad range of responsibilities across an established SEC-registered investment advisor, including traditional wealth management, alternative investments, proprietary pooled vehicles, SMAs, portfolio management, and client-facing activities.
With a direct reporting line to the Chief Compliance Officer, the position offers an opportunity to become an important part of the firm's compliance infrastructure while gaining exposure to regulatory matters across the broader organization.