Regulatory Compliance Associate

Pure Search

New York (NY)

On-site

USD 70,000 - 110,000

Full time

6 hours ago
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Job summary

Pure Search is partnering with a leading global investment firm to appoint a Regulatory Compliance Associate based in New York. The role is hands-on within a lean compliance function, covering marketing review, regulatory filings, testing and policy development.

You will work with stakeholders in Compliance and Legal, plus wider business, gaining broad exposure on a global platform. Ideal candidates have 2–4 years of compliance and FINRA broker-dealer experience.

Qualifications

  • 2-4 years of compliance experience within financial services.
  • Direct compliance experience supporting a FINRA-registered broker-dealer or adjacent platforms.
  • Hands-on marketing and communications review experience.
  • Working knowledge of FINRA rules and the Investment Advisers Act.

Responsibilities

  • Review marketing materials, investor communications, press releases and social media content.
  • Prepare and support SEC and FINRA regulatory filings.
  • Support licensing and registrations for regulated personnel.
  • Develop, update and implement compliance policies and procedures.
  • Execute compliance monitoring and testing.
  • Develop and deliver employee training.
  • Administer the firm’s electronic compliance training platform.
  • Monitor regulatory developments and assess their impact on the business.

Skills

Compliance experience
FINRA rules knowledge
Marketing review
Investment Advisers Act
Series 7/24 licenses
Communication skills
Independent work
Team collaboration

Job description

We are partnering with a leading global investment firm to appoint a Regulatory Compliance Associate, based in New York.

This is a broad, hands-on role within a lean compliance function, covering marketing and communications review, surveillance, regulatory filings, registrations, testing and policy development. You will join a global platform, gain broad exposure and work closely with stakeholders not only in Compliance and Legal, but the wider business.

Key Responsibilities
  • Review marketing materials, investor communications, press releases and social media content
  • Prepare and support SEC and FINRA regulatory filings
  • Support licensing and registrations for regulated personnel
  • Develop, update and implement compliance policies and procedures
  • Execute compliance monitoring and testing
  • Develop and deliver employee training
  • Administer the firm’s electronic compliance training platform
  • Monitor regulatory developments and assess their impact on the business
Requirements
  • 2 - 4 years of compliance experience within financial services
  • Direct compliance experience supporting a FINRA-registered broker-dealer or adjacent platforms
  • Hands-on marketing and communications review experience
  • Working knowledge of FINRA rules and the Investment Advisers Act
  • Series 7 and 24 licenses, or willingness to obtain them within six months
  • Strong judgment, problem-solving and communication skills
  • Ability to work independently and manage multiple responsibilities
  • A collaborative and adaptable approach suited to a lean team
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