Vice President Compliance

Northbound Search

  • San Francisco, CA
  • 1 day ago

    Highlights

    Partner with internal audit, finance, operations, and external auditors to conduct periodic risk assessments and strengthen the firm's compliance testing and regulatory readiness. 7+ years of regulatory compliance experience within an alternative investment manager, private equity, credit, or broader asset management environment.

    Numbers & Facts

    LocationSan Francisco, CA

    Description

    Compliance Officer

     

    We are currently recruiting for a Compliance opportunity. This position will primarily focus on transaction advisory compliance for our client's credit business. The role is onsite five days per week, with the opportunity to convert to a full-time permanent position. We are ideally targeting candidates with 5–10 years of experience at the AVP or VP level. Prior financial services experience is required.

     

    Responsibilities

     

    • Evaluate potential conflicts of interest associated with proposed investment transactions and provide practical compliance guidance.
    • Support the governance framework, oversight processes, and regulatory reporting for the Credit platform.
    • Serve as a trusted compliance advisor to investment professionals on regulatory requirements and internal policies.
    • Perform ongoing compliance monitoring, testing, and reporting while helping implement and enhance policies, procedures, and controls.
    • Advise on matters involving market abuse, information barriers, wall crossings, and conflicts management in accordance with applicable regulations and firm standards.
    • Stay current on evolving regulatory developments, assess business impact, and recommend process enhancements to address compliance gaps.
    • Develop, update, and maintain compliance policies, procedures, and internal guidance documents.
    • Deliver compliance training to business teams on regulatory updates and firm-wide policies.
    • Partner with internal audit, finance, operations, and external auditors to conduct periodic risk assessments and strengthen the firm's compliance testing and regulatory readiness.
    • Support pre-trade compliance reviews and controls, including oversight of the firm's security master and other key reference data.
    • Review trade reallocations, best execution activity, and trade exceptions to ensure adherence to internal and regulatory requirements.
    • Assist in investigating, resolving, and documenting trading and operational issues or errors.
    • Support the compliance aspects of onboarding new client accounts.
    • Maintain and monitor portfolio and client restricted lists, including affiliated investment restrictions.
    • Drive process improvements and assist with implementing technology solutions that enhance the efficiency and effectiveness of the compliance function.

     

    Qualifications

    • 7+ years of regulatory compliance experience within an alternative investment manager, private equity, credit, or broader asset management environment.
    • Demonstrated knowledge of investment advisory regulations and compliance best practices.
    • Self-motivated, resourceful, and proactive with a solutions-oriented mindset and strong ethical standards.
    • Proven ability to manage multiple priorities and projects in a fast-paced environment while exercising sound judgment.
    • Strong project management and organizational skills with exceptional attention to detail.
    • Collaborative team player with the ability to build effective relationships across business and support functions.
    • Excellent written and verbal communication skills, with the ability to present complex regulatory concepts clearly.
    • Strong analytical and problem-solving abilities.
    • Advanced proficiency in Microsoft Office, particularly Excel and PowerPoint.

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