Compliance Officer and Counsel
¿Es esta oferta para usted?
Crear mi CV Cree su CV y descubra su porcentaje de coincidencia con este puesto — y con todos los demás.
El puesto
Provide strategic legal counsel and compliance leadership across investment management operations.
Develop, implement, and maintain policies, procedures, and internal controls to ensure SEC, FINRA, and securities-law compliance.
Oversee annual reviews (e.g., 206(4)-7), monitoring, risk assessments, and adherence to the Code of Ethics.
Draft, review, and negotiate vendor, client, and corporate agreements; review marketing materials and research publications.
Advise on legal and regulatory matters under the Investment Advisers Act and related securities laws; support regulatory filings, examinations, and audits.
Collaborate with Human Resources on employment matters and foster a culture of integrity, collaboration, and accountability.
Develop, implement, and maintain policies, procedures, and internal controls to ensure SEC, FINRA, and securities-law compliance.
Oversee annual reviews (e.g., 206(4)-7), monitoring, risk assessments, and adherence to the Code of Ethics.
Draft, review, and negotiate vendor, client, and corporate agreements; review marketing materials and research publications.
Advise on legal and regulatory matters under the Investment Advisers Act and related securities laws; support regulatory filings, examinations, and audits.
Collaborate with Human Resources on employment matters and foster a culture of integrity, collaboration, and accountability.
Ver la oferta completa
Funciones, perfil, competencias y ventajas — crea tu cuenta gratis.
o
¿Ya tiene una cuenta?
Iniciar sesiónOfertas similares
Otros puestos que podrían encajar.
CiudadNewport Beach, United States