Company:
https:/wayup.com/sitemap.xml
Location: San Francisco
Closing Date: 03/11/2024
Salary: £150 - £200 Per Annum
Hours: Full Time
Type: Permanent
Job Requirements / Description
Job Description
- Advising clients on compliance with the Securities Act, Securities Exchange Act, Advisers Act and other applicable regulatory directives with little input from senior team members.
- Advising on and reviewing firm marketing and advertising materials for compliance with the Advisers Act and other applicable regulatory requirements.
- Assist and oversee junior team members in the performance of compliance functions, such as personal trading review, email review, the monitoring of firm trading activities and maintaining restricted lists.
- Perform reviews needed to complete an Annual Review of policies and procedures as required under the Advisers Act. Oversee reviews conducted by other team members.
- Lead client calls and ensure call agendas and work product are provided in a timely manner.
- Review drafts of required US regulatory filings.
- Prepare and conduct training for our clients, according to the client’s needs, particularly regarding the Advisers Act.
- Review drafts of client policies and procedures.
- Design and monitor testing systems to ensure the efficacy of controls and surveillance programs.
- Mentor new team members.
- Perform other compliance-related responsibilities and special projects as needed.
Qualifications:
Qualifications
Bachelor's degree
6 to 8 years of relevant compliance experience at a registered investment adviser, law firm, or investment consulting firm, experience practicing law regarding registered investment companies preferred.
Working knowledge of the IA Act of 1940 and the ICA of 1940
Knowledge of SEC Exam practices, experience with SEC exams and mock exams preferred.
Knowledge of CFTC / NFA as well as FINRA requirements is a plus.
Additional Information
Include in Additional Info:
Salary based on experience and location ($120,000-$150,000) and full benefits package offered.
#LI-Hybrid
Qualifications * Bachelor's degree * 6 to 8 years of relevant compliance experience at a registered investment adviser, law firm, or investment consulting firm, experience practicing law regarding registered investment companies preferred. * Working knowledge of the IA Act of 1940 and the ICA of 1940 * Knowledge of SEC Exam practices, experience with SEC exams and mock exams preferred. * Knowledge of CFTC / NFA as well as FINRA requirements is a plus. Additional Information **Include in Additional Info:**Salary based on experience and location ($120,000-$150,000) and full benefits package offered.\#LI-Hybrid#J-18808-LjbffrShare this job
https:/wayup.com/sitemap.xml