Compliance Risk Management Director (Retail Alternative Investment Funds) - Executive Director
- Serve as Chief Compliance Officer of a registered investment fund focused on alternative strategies and advise the investment groups responsible for the fund's strategies.
- Advise on regulatory matters related to fund formation, valuation, investment restrictions, conflicts, and disclosures.
- Lead compliance program design and operation under Rule 38a-1, including testing, reporting, and documentation.
- Prepare and present Board-facing reports and updates related to compliance oversight and material issues.
- Collaborate with legal, product, risk, and operations teams to resolve complex regulatory issues.
- Identify, escalate, and respond to potential compliance risks or control gaps in fund operations.
- Maintain working knowledge of SEC rules applicable to closed-end funds, tender offers, and affiliated transactions.
- Guide the annual compliance review process, including planning, execution, and delivery of findings.
- Build and sustain strong partnerships with internal stakeholders to align compliance guidance with business objectives.
- Track emerging regulatory developments and assess their impact on fund operations and strategy.
- Mentor and support colleagues with less experience in alternative fund structures or compliance leadership.
Required Qualifications, Capabilities and Skills:
- 10+ years of experience in regulatory compliance, legal, or risk management roles within asset management or financial services.
- Expertise in SEC regulations applicable to registered investment companies, particularly closed-end interval or tender-offer funds, and the Investment Advisers Act of 1940.
- Experience serving in a designated compliance leadership capacity (e.g., Deputy CCO, CCO, or control function lead).
- Proven ability to communicate complex regulatory issues clearly in writing and verbally to senior audiences.
- Strong working knowledge of fund governance, including preparation of Board materials and annual compliance reporting.
- Ability to operate independently and lead cross-functional initiatives with limited oversight.
- Track record of professional judgment in ambiguous or novel regulatory situations.
- Experience reviewing or overseeing valuation practices for illiquid or private assets.
- Bachelor's degree or higher in law, finance, or related field.
- Demonstrated integrity, accountability, and professional maturity in regulated environments.
Preferred Qualifications, Capabilities and Skills:
- Experience as Chief Compliance Officer of a registered investment company.
- Subject matter expertise in private equity or private credit within fund structures.
- Familiarity with valuation, liquidity management, and affiliate oversight frameworks.
- Participation in regulatory exams or responses related to fund compliance.
- Strong presentation skills and experience interacting with fund Boards.
- Operational familiarity with compliance program testing and documentation systems.
- Commitment to inclusive leadership and supporting a culture of growth and curiosity.
JPMorgan Chase & Co. is an Equal Opportunity Employer, including Disability/Veterans Base Pay/Salary
New York,NY $175,750.00 - $260,000.00 / year
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