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Compliance AnalystNational Society of Compliance ProfessionalsUnited States

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Compliance Analyst

National Society of Compliance Professionals
  • US
    United States
  • US
    United States

Über

Cache

Location:
Remote

Overview
Cache is hiring for either a Compliance Analyst (3–5 years experience) or for the right candidate as a Compliance Lead (8–10+ years experience) to support the firm's rapidly expanding Exchange Fund and private-fund advisory platform.

All candidates will work directly with the CCO and support the overall Core Compliance Program as well as elements of the Fund Formation and Administration process, and the SOC Compliance initiative. The position provides exposure to the full regulatory and operational lifecycle of a broker-dealer and investment adviser that sponsors Private Funds.

Key Responsibilities
For candidates considered at the Compliance Lead level, the role includes all analyst responsibilities executed with limited direction and oversight, along with additional expectations to:

  • Perform independent regulatory analysis related to new business initiatives, fund structures, product launches, custodial integrations, and marketing workflows.
  • Provide forward-looking guidance on how SEC, FINRA, and state regulations apply to emerging operational and product developments.
  • Serve as a more senior point of contact across the business on compliance matters.

Team: Small, senior, cross-functional. High autonomy, high bar.

Responsibilities
Core Compliance Responsibilities

  • Execute the compliance management program under the direction of the CCO**, including reviewing and updating compliance manuals and procedures, risk assessments, and performing required testing under Rule 3120/3130 and Rule
  • Perform core regulatory reporting tasks, including Web CRD Administration, Form ADV updates, Form PF support, Schedule 13 filings (13F/13H), 314(b) reviews, and AML-related filings and certifications.
  • Support marketing and correspondence review, including reviewing electronic media assets to ensure compliance with SEC and FINRA regulatory requirements.
  • Assist with AML and compliance administration and training, including client watchlist screening, employee certification tracking, researching compliance issues, and supporting regulatory document production.

Additional Responsibilities

  • Prepare audit and exam responses (SEC, FINRA, and state regulators) with supporting documentation.
  • Work with Engineering to streamline manual compliance processes and strengthen controls through automation.
  • Provide support for Fund Administration and Corporate Governance (including corporate filings and
  • United States

Sprachkenntnisse

  • English
Hinweis für Nutzer

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