Senior Compliance Officer

Landing Point

New York (NY)

On-site

USD 450,000 - 550,000

Full time

14 days+

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Job summary

Landing Point is seeking a Senior Compliance Officer/Deputy CCO in New York, NY, who will support the CCO in overseeing the firm’s compliance program with a clear path to the CCO position in 1–2 years. This role offers exposure to trading-related compliance issues in a lean, collaborative environment.

Ideal candidates will have 5–10 years of experience in compliance within hedge funds, in addition to a strong knowledge of trading compliance protocols.

Qualifications

  • 5–10 years of compliance experience within a hedge fund or trading environment.
  • Strong knowledge of trading compliance including MNPI, restricted lists, and information barriers.
  • Experience supporting active trading desks.

Responsibilities

  • Support the CCO in enhancing the firm’s compliance program.
  • Monitor trading activity and advise on compliance issues.
  • Maintain and administer the restricted list and watch list.

Skills

Compliance experience
Trading-related compliance knowledge
Judgment
Communication skills

Job description

Senior Compliance Officer/Deputy CCO to become CCO (New York, NY):

Our client, a growing hedge fund focused looking to hire a Senior Compliance Officer or Deputy CCO. This individual will work closely with senior leadership and take on broad responsibility across the compliance program in a lean, collaborative environment. The role is highly visible and offers a clear path to step into the CCO position over the next 1–2 years. It is ideal for someone who enjoys being a true generalist while maintaining a strong focus on trading-related compliance.

Key points:
  • Clear path to CCO over the next 1-2 years
  • Broad generalist role with real exposure to trading-heavy compliance issues
  • Newly created seat driven by firm growth and investor demand
  • Lean, entrepreneurial environment with direct access to senior leadership
  • Compensation: up to 500k all in, depending on experience
  • WFH policy: 4 days in the office
Key Responsibilities:
  • Support the CCO in overseeing and enhancing the firm’s compliance program
  • Monitor trading activity and advise on trading-related compliance issues
  • Maintain and administer the restricted list, watch list, and MNPI controls
  • Review potential MNPI issues and help manage information barriers
  • Oversee expert network usage, approvals, documentation, and related controls
  • Partner with investment professionals on real-time compliance questions
  • Review marketing materials, investor communications, pitch books, DDQs, and other external materials
  • Assist with regulatory filings and ongoing reporting obligations
  • Administer the Code of Ethics, including personal trading, gifts and entertainment, political contributions, outside business activities, and certifications
  • Conduct employee training and help reinforce compliance policies across the firm
  • Assist with annual compliance reviews, testing, risk assessments, and policy updates
  • Support preparation for SEC exams, investor diligence requests, and internal audits
  • Help maintain written policies and procedures tailored to the firm’s trading strategy and business model
  • Work with operations, finance, investor relations, and the investment team on cross‑functional compliance matters
  • Identify process improvements and help build a scalable compliance infrastructure as the firm grows
  • Serve as a senior compliance resource and potential successor to the CCO over time
Qualifications:
  • 5–10 years of compliance experience within a hedge fund, asset manager, or trading environment
  • Strong knowledge of trading compliance, including MNPI, restricted lists, and information barriers
  • Experience supporting or interacting with active trading desks
  • Familiarity with expert network compliance and related risk areas
  • Exposure to marketing review, Code of Ethics administration, and regulatory filings
  • Experience supporting SEC exams, annual reviews, and compliance testing
  • Comfortable operating in a lean, hands‑on environment with broad responsibilities
  • Strong judgment, communication skills, and ability to work directly with senior investment professionals
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