Compliance Analyst

William Blair

  • Chicago, Illinois
  • 27 days ago

    Highlights

    1-3 years of prior professional experience involving compliance for registered investment advisers and/or registered investment companies and other pooled investment vehicles (CITs, UCITS, private funds, etc.). This dynamic role reports to the WBIM Chief Compliance Officer and partners closely with the William Blair Funds' Chief Compliance Officer and the broader WBIM compliance team in Chicago.

    Numbers & Facts

    LocationChicago, Illinois

    Description

    Solutions for Today’s Challenges. Vision for Tomorrow’s Opportunities.

    Join William Blair, the Premier Global Partnership.

    William Blair is seeking to add a Compliance Analyst to its William Blair Investment Management (WBIM) dedicated compliance team. This dynamic role reports to the WBIM Chief Compliance Officer and partners closely with the William Blair Funds' Chief Compliance Officer and the broader WBIM compliance team in Chicago. This role is expected to be in the office 3 times per week.

    Responsibilities include but may not be limited to:

    • Conduct post-trade compliance monitoring to ensure compliance with regulatory requirements and client guidelines with minimal supervision

    • Review daily system-generated reports, including trading activity reports

    • Analyze and prepare responses to compliance inquiries, due diligence questionnaires, AML requests and requests for information/proposal from clients, consultants, and prospects

    • Perform designated compliance testing as part of WBIM's annual compliance review process

    • Assist with the review marketing materials and other marketing related and client communications (including electronic communications) for compliance with applicable rules; file required marketing materials with FINRA

    • Assist with various other regulatory filings (e.g. Form ADV, Section 13 filings, Form PF, other non-US filings as needed)

    • Assist in addressing employee Code of Ethics questions and resolving associated exceptions. Participate in other projects, as needed/requested

    • Participate in other projects, as requested

    Qualifications:

    • Bachelor’s degree 

    • 1-3 years of prior professional experience involving compliance for registered investment advisers and/or registered investment companies and other pooled investment vehicles (CITs, UCITS, private funds, etc.)

    • Understanding of federal and state regulations applicable to investment advisers and understanding of investment adviser products and operations

    • Collaborative and team-oriented self-starter with strong conceptual and critical thinking skills 

    • Ability to accurately and concisely summarize complex information

    • Strong written and oral communication skills

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