A Global Investment Management firm is seeking a Chief Compliance Officer and Counsel to oversee the firm's compliance function. Reporting to the General Counsel, the Chief Compliance Officer and Counsel will manage a team of compliance professionals and will advise on fund and investment related matters, LPA and side letter obligations, the implementation of SEC and FINRA rules, as well marketing materials and regulatory filings. This role is a hybrid role in Washington, D.C..
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