Head of Marketing Compliance

Optima Partners

New York (NY)

Hybrid

USD 180,000 - 240,000

Full time

6 days ago
Be an early applicant
Application generator

Don’t send a generic resume — generate a resume and cover letter tailored to this exact role.

Get past ATS filters

Job summary

Optima Partners in New York, NY is seeking a Head of Marketing Compliance to lead the firm's marketing review function. You will independently review client materials, provide written compliance comments, and negotiate compliant language with client teams under SEC rules.

The role requires deep knowledge of SEC marketing and advertising requirements, including Rule 206(4)-1, and the ability to drive standards across multiple client engagements with tight timelines.

Qualifications

  • 10+ years of experience in investment adviser marketing/advertising compliance.
  • Experience at a registered investment adviser, private equity firm, investment bank, hedge fund, law firm, or compliance consultancy.
  • Working knowledge of the Investment Advisers Act, Investment Company Act, FINRA advertising rules, and anti-fraud provisions.
  • Ability to review dense marketing materials quickly and provide precise, substantiated written comments under deadlines.
  • Strong client-facing communication skills with the confidence to handle pushback from senior stakeholders.

Responsibilities

  • Serve as the sole reviewing authority for client marketing and investor communications materials submitted for compliance review.
  • Review materials for compliance with SEC marketing rules and applicable securities regulations.
  • Assess advertising materials against substantiation, disclosures, and general prohibition standards.
  • Draft clear, legally-grounded written comments with rule-based justifications for required changes.

Skills

SEC Marketing Rule
Regulatory compliance
Client communication
Financial services
Policy drafting

Education

J.D. or equivalent

Job description

Location: New York, NY (Hybrid 3 days on-site) | Type: Full-time

About Optima Partners

Established in 2014, Optima is a leading global regulatory compliance and cybersecurity consulting firm advising financial institutions, including private equity firms, investment banks, and hedge funds, on regulatory obligations across the jurisdictions in which they operate. With offices in New York, Miami, San Francisco, Los Angeles, San Diego, London, Dubai, Abu Dhabi, Hong Kong, and Singapore, Optima combines deep subject-matter expertise with a practical, business-focused approach to compliance.

Role Overview

Optima Partners is seeking a Head of Marketing Compliance to lead the firm's marketing review team which reviews the marketing materials and communications of of our clients which are primarily private funds (private equity and hedge funds) and wealth managers. This is a dedicated review and advisory role: the Head of Marketing Compliance does not create marketing content, but instead independently examines client-prepared marketing materials, pitch decks, investor communications, and website and digital content, and issues clear, written compliance comments and required revisions in the manner of outside counsel in accordance with the SEC’s Marketing Rule and industry best practices.

The successful candidate will bring deep, current knowledge of SEC marketing and advertising requirements, including the Investment Advisers Act Marketing Rule (Rule 206(4)-1), and will be comfortable working directly with client marketing, IR, and legal teams to negotiate and finalize compliant materials under time pressure. This role carries sole ownership of the marketing compliance review process and sets the standard for what "SEC-ready" marketing material means across Optima's client base.

Key Responsibilities
  • Serve as the sole reviewing authority for client marketing and investor communications materials submitted for compliance review, including pitch decks, fact sheets, tear sheets, capital raising materials, performance presentations, RFP responses, and website content.
  • Review materials for compliance with SEC marketing and advertising rules, most notably the Investment Advisers Act Marketing Rule (206(4)-1), and applicable requirements under the Securities Act, Exchange Act, and FINRA guidance where relevant to client activities.
  • Assess performance advertising, hypothetical performance, case studies, and testimonials/endorsements against the Marketing Rule's substantiation, disclosure, and general prohibition standards.
  • Draft clear, specific, legally-grounded written comments on client materials, citing the applicable rule or guidance for each required change, in a style and format comparable to outside counsel markup.
Client & Cross-Functional Engagement
  • Liaise directly with client marketing, investor relations, and in-house legal/compliance teams as well as internal Optima relationship Partners to explain required changes, respond to pushback, and negotiate compliant alternative language.
  • Manage review timelines against client publication and distribution deadlines, prioritizing a high-volume pipeline of concurrent submissions across multiple client engagements.
  • Track review status, turnaround times, and open items for each client engagement, and escalated unresolved or high-risk items to Optima senior leadership as needed.
Standards, Precedent & Risk
  • Build and maintain a firm-wide precedent library of approved language, standard disclosures, and comment templates to drive consistency and efficiency across reviews.
  • Monitor SEC rulemaking, no-action letters, enforcement actions, and guidance relevant to marketing and advertising, and translate developments into updated review standards.
  • Identify and flag recurring or systemic marketing compliance issues across the client base to inform client advisory conversations and training.

This role is strictly limited to the review and compliance sign-off function. It does not include content creation, campaign strategy, design, or brand/marketing execution work, which remain the responsibility of client teams.

Qualifications & Requirements
Required
  • 10+ years of experience in investment adviser marketing/advertising compliance, with direct, hands-on experience applying the SEC Marketing Rule (206(4)-1) to real client materials.
  • Prior experience at a registered investment adviser, private equity firm, investment bank, hedge fund, law firm, or compliance consultancy in a marketing review, compliance, or regulatory capacity.
  • Working knowledge of related regulatory frameworks, including the Investment Advisers Act, Investment Company Act (where applicable), FINRA advertising rules, and general anti-fraud provisions.
  • Demonstrated ability to review dense marketing and performance materials quickly and accurately, and to produce precise, well-substantiated written comments under deadline pressure.
  • Strong client-facing communication skills, with the confidence to hold a compliance position under commercial pushback from senior client stakeholders.
  • Experience managing a high-volume review pipeline across multiple concurrent clients or business lines.
Preferred
  • J.D., or equivalent compliance/legal qualification, though not required for candidates with strong hands-on regulatory review experience.
  • Familiarity with private equity and hedge fund fundraising materials specifically (PPMs interplay, case studies, track record presentations, hypothetical and predecessor performance).
  • Prior experience at a compliance consulting firm reviewing materials across multiple client mandates simultaneously or similar experience in-house or at a regulator.
Proficiency Assessment

Candidates will be required to demonstrate their marketing review proficiency through completion of (2-3) typical marketing review samples to assess regulatory acumen and analysis around the rule including FAQ and Risk Alert guidance from the SEC Divisions of Investment Management and Examinations.

Optima Partners is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Compliance Marketing Review Specialist
Compliance Marketing Review Specialist

Atlantic Group • New York (NY)

On-site
USD 200,000 - 250,000
Marketing Compliance Lead — SEC Rule Expert
Marketing Compliance Lead — SEC Rule Expert

Optima Partners • New York (NY)

Hybrid
USD 180,000 - 240,000
Compliance Officer - Marketing
Compliance Officer - Marketing

Dagen • Fort Worth (TX)

On-site
USD 110,000 - 140,000
Employer-paid medical, dental, vision insurance
Employer-paid life and disability insurance
Competitive salary and discretionary bonus
+4
Compliance Director, Marketing Review
Compliance Director, Marketing Review

Jobtailor • Town of Florida (NY)

On-site
USD 90,000 - 130,000
Compliance Associate
Compliance Associate

Optima Partners • New York (NY)

On-site
USD 90,000 - 130,000
Marketing Compliance Officer
Marketing Compliance Officer

Arrow Search Partners • New York (NY)

On-site
USD 110,000 - 170,000
Compliance Associate, Marketing & Investment Adviser Compliance
Compliance Associate, Marketing & Investment Adviser Compliance

NewEdge Capital Group LLC • Stamford (CT)

On-site
USD 90,000 - 120,000
Health insurance
Dental insurance
Vision insurance
+5
Marketing Compliance Analyst/Associate
Marketing Compliance Analyst/Associate

Athene • New York (NY)

On-site
USD 100,000 - 120,000
Discretionary annual bonus
Senior Marketing Compliance Lead (Remote)
Senior Marketing Compliance Lead (Remote)

PR Girl Manifesto • Fort Mill (SC)

Hybrid
USD 90,000 - 130,000
Medical, dental, vision
401(k) with company match
ESPP
+1
Compliance Officer, Marketing Review
Compliance Officer, Marketing Review

Default Brand • San Antonio (TX)

On-site
USD 110,000 - 130,000
Medical, Dental, Vision plans
Flexible PTO
Education Tuition Reimbursement
+1