Regulatory Compliance Analyst

job
  • Select Recruiting Group, LLC
Sorry the Job you are looking for is no Longer available

Job Summary
Location
West Chester ,PA 19388
Job Type
Contract
Visa
Any Valid Visa
Salary
PayRate
Qualification
BCA
Experience
2Years - 10Years
Posted
26 Dec 2024
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Job Description

Regulatory Compliance Analyst


Our client, a Financial Services Firm located outside Philadelphia, is seeking a Regulatory Compliance Analyst .


***This is a full-time, hybrid, direct-hire role. The position is in the office 3 days per week.


*** Local candidates only; not open to relocation.


Responsibilities:

  • Data Management & Issue Resolution: Collaborate with team members to gather and manage data from various sources, ensuring timely resolution of issues and accurate responses to third-party documentation requests.
  • Communication Oversight: Monitor employee electronic communications to maintain compliance and protect the integrity of our operations.
  • Regulatory Records Management: Maintain and organize the firm’s compliance calendar, regulatory books, and records, ensuring everything is up-to-date and in order.
  • Ethics Compliance: Oversee the Code of Ethics monitoring system, including the deployment and review of initial, quarterly, and annual certifications.
  • Conflict of Interest Review: Evaluate personal securities transactions and potential conflicts of interest, ensuring adherence to our Code of Ethics and policies on outside business activities, gifts, entertainment, and political contributions.
  • Service Provider Monitoring: Coordinate and track service provider compliance with our policies through a structured monitoring process.
  • Risk Assessment & Testing: Support our risk assessment process by conducting thorough compliance testing on an annual and periodic basis.
  • Training & Presentation: Assist in preparing presentation and training materials for employees, Governance Committees, and the Board.
  • Vendor Oversight: Work with the CCO and Compliance Manager in overseeing third-party managers and vendors by preparing and distributing due diligence questionnaires.
  • Reporting: Contribute to the preparation of quarterly and annual reports for the Governance Committee and Trust CCO.
  • Regulatory Filings & Manual Maintenance: Assist in preparing regulatory filings, performing service provider reviews, and maintaining the compliance manual.
  • Cross-Departmental Communication: Maintain strong, transparent communication with all departments and staff to ensure cohesive and effective compliance operations.


Experience:

  • In-depth knowledge of the Investment Advisers Act of 1940 and Investment Company Act of 1940.
  • 3+ years of compliance experience within financial services (RIA or RIC).
  • Experience with employee compliance monitoring systems, ComplySci, Global Relay.

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