Outsourced Chief Compliance Officer (RIAs/Funds/BDs)

Vigilant Compliance

Chadds Ford (Delaware County)

On-site

USD 100,000 - 130,000

Full time

14 days+
Application generator

Turn this role into an interview — a resume and cover letter built around what this employer wants.

Get past ATS filters

Benefits offered by this job

401k with match
Paid holidays
Vacation days
Competitive salary

Job summary

A leading compliance firm in Chadds Ford is seeking a Compliance Director. This role involves overseeing compliance activities for clients, conducting compliance tests, and maintaining regulatory standards. Candidates should have at least 3 years of compliance experience, ideally with a bachelor's degree and Series 7 or 24 certifications. This position offers a competitive salary and additional benefits, including paid holidays and a 401k match.

Qualifications

  • Minimum 3 years of experience in compliance.
  • Series 7 and 24 certifications are a plus.
  • Detail-oriented with strong written and oral communication skills.

Responsibilities

  • Assist with compliance department activities.
  • Conduct compliance testing and reviews.
  • Prepare and review policies and training materials.
  • Lead risk assessments of compliance policies.
  • Maintain relationships with business partners.
  • Support compliance reports and examinations.
  • Travel may be required.

Skills

Investment Company Act Experience
Compliance Testing
Strong communication skills
Microsoft Office

Education

Bachelor's degree

Job description

Primary Location: 223 Wilmington West Chester Pike #216, Chadds Ford, PA 19317

Company: Vigilant Compliance

Client Types: Registered Investment Advisers ("RIAs"), Registered/Private Funds and Broker Dealers ("BDs")

Job Description:

We are seeking a Compliance Director. The Director will be responsible for supporting in the administration of Compliance for clients.

We are based in Chadds Ford, Pennsylvania. Our hours are normal business hours Monday through Friday. We offer a competitive salary, based on experience, as well as paid holidays, vacation days, 401k with a match, and additional benefits.

Key Qualifications
  • Investment Company Act Experience Required (Minimum 3 Years)
  • Adviser, Fund CCO Experience
  • Series 7, 24 a Plus
Responsibilities
  • Assist with the implementation, execution, and management of the Compliance Department's activities, specifically monitoring and oversight.
  • Conduct compliance testing and reviews, and produce reports thereon.
  • Ensure that business areas meet and maintain compliance requirements by preparing and reviewing new policies, procedures, and training materials.
  • Lead ongoing risk assessments of compliance policies and procedures.
  • Assess the adequacy of service providers' compliance policies and procedures, and summarize.
  • Track service providers' compliance policies and procedures and summarize.
  • Support the preparation of quarterly and annual compliance reports.
  • Support examinations and respond as necessary to client inquiries.
  • Establish and maintain effective relationships with business partners and service providers.
  • Performs other duties as required.
  • Some travel involved.

Character: Exhibits integrity, professionalism, practical judgment, positive attitude at all times; exhibits perseverance, mental toughness and initiative in the face of problems and challenges; must be able to take direction and accept constructive criticism.

Education & Experience
  • Bachelor's degree required
  • 3+years Compliance Experience
  • Series 7, 24 a Plus
  • Strong written and oral communication skills, detail oriented
  • Working knowledge of Microsoft Office Word, Excel, and PowerPoint
Who We Are

Vigilant is an Award Winning and Industry Leading Compliance Firm that continues to remain Independent and Privately Owned delivering Clients end to end solutions that they can trust.

Since 2004, we have been providing tailored and customized end-to-end solutions to Advisers, Funds and Broker Dealers:

  • Outsourced CCO
  • CCO Support
  • Advertising and Marketing Review
  • Mock SEC/FINRA Exams
  • Registered Representative Licensing
  • Principal Underwriter for Registered Funds

Our Clients include: Private Equity, Hedge Funds, Closed End Funds, Private Credit/Structured Credit, ETFs, Mutual Funds, Wealth Managers, SMAs, Real Estate Funds, Infrastructure Funds, Registered Investment Advisers (RIAs) and Broker Dealers.

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

Similar jobs worth comparing

Outsourced Compliance Director for RIAs & Funds
Outsourced Compliance Director for RIAs & Funds

Vigilant Compliance • Chadds Ford

On-site
USD 100,000 - 130,000
401k with match
Paid holidays
Vacation days
+1
Chief Compliance Officer
Chief Compliance Officer

Dinsmore Compliance Services • Cincinnati (OH)

On-site
USD 150,000 - 230,000
Compliance Manager
Compliance Manager

Confluence Technologies • United States

On-site
USD 90,000 - 130,000
Fully remote
Exposure to multiple funds
Client exposure
Senior Compliance Professional
Senior Compliance Professional

Alexander Chapman • New York (NY)

On-site
USD 80,000 - 120,000
Chief Compliance Officer
Chief Compliance Officer

Drake & Associates • Goerke's Corners (WI)

On-site
USD 150,000 - 230,000
Chief Compliance Officer
Chief Compliance Officer

Drake & Associates • Waukesha (WI)

On-site
USD 180,000 - 240,000
Chief Compliance Officer
Chief Compliance Officer

Select Recruiting Group, LLC • King of Prussia (PA)

On-site
USD 180,000 - 260,000
Chief Compliance Officer
Chief Compliance Officer

VestGen Wealth Partners • Chicago (IL)

On-site
USD 180,000 - 240,000
Chief Compliance Officer
Chief Compliance Officer

Drake & Associates, LLC • Milwaukee (WI)

On-site
USD 150,000 - 230,000
Deputy Chief Compliance Officer
Deputy Chief Compliance Officer

Fernridge Group • San Diego (CA)

On-site
USD 180,000 - 320,000
Relocation assistance