Compliance Consultant - Compliance Advisory
We are COMPLY.
For compliance people.
We pride ourselves on being the champion for compliance professionals. Merging technology, consulting and education, we help clients navigate the ever-changing regulatory environment. We serve more than 7,000 clients globally, through our solutions including ComplySci, RIA in a Box, National Regulatory Service (NRS) and illumis. We are a high-growth organization and have been recognized with numerous awards including by Inc. 5000, Institutional Asset Manager Awards, Private Equity Wire Awards, and the Women in Data & Technology Awards.
COMPLY is made up of 350+ professionals worldwide. In the US alone, we have team members in 45 states. Employees of COMPLY have access to comprehensive benefits, unlimited PTO, paid bonding leave and 100% remote work flexibility with a WFH stipend.
Come join our team of talented innovators working together to forge the next generation of compliance.
To learn more about COMPLY, visit COMPLY.com.
COMPLY is seeking a polished and accomplished Compliance Consultant to join our growing team! This person will be responsible for providing consulting services on a variety of compliance and regulatory matters, drafting disclosure documents, and conducting on-site and remote compliance reviews of investment adviser and/or broker dealer firms. Our ideal candidate is motivated, detail-oriented, and passionate about delivering high-quality services to our clients by offering innovative and unique solutions to overcome complex challenges.
Responsibilities:
• Perform both on-site and office-based consulting services.
• Conduct on-site and remote compliance reviews of investment adviser and/or broker dealer firms.
• Collaborate with our sales representatives by participating in pre-sales prospect phone calls and occasional prospect on-site meetings including proposal creation.
• Provide guidance and advice to clients on new or existing products/modules.
• Prepare and deliver high-quality client content for conferences, webinars, and education materials.
• Prepare marketing content and marketing materials as needed.
• Participate in the development and maintenance of Comply products and services.
• Assist Senior Consultants with various tasks.
• Mentor and oversee department Associates.
Qualifications:
• Law or financial degree and/or equivalent compliance experience.
• Knowledge and understanding of the Investment Advisers Act of 1940 and/or Securities Exchange Acts, FINRA rules and regulations governing broker dealers.
• Ability to engage in complex problem solving and analytical thinking as required.
• Excellent interpersonal skills, with the ability to manage relationships with colleagues and stakeholders at all levels.
• Demonstrated ability to work effectively within a client service-oriented, collaborative environment.
• Proficient in Microsoft Office Suite (Excel, Word, PowerPoint, & Outlook)
Apply tot his job
Apply To this Job