Alternative Asset Compliance - Senior Principal Consultant
Company: Trellis Group
Location: New York
Posted on: April 14, 2025
Job Description:
Alternative Asset Compliance - Senior Principal ConsultantDate:
Apr 2, 2025Location: New York, NY, USCompany: ACA GroupThis role
will be based out of one of our office locations (New York
City/Tri-State, Boston (opening 2025), Pittsburgh, Chattanooga,
Portland Maine and Medford Oregon. You will work on a hybrid
schedule with two days a week in the office.The Opportunity:The
individual in this position is responsible for participating in
mock regulatory examinations and compliance program reviews,
assisting with policy and procedure reviews, drafting reports and
manuals that promote compliance with regulatory requirements, and
providing compliance assistance and advice to clients including
those who advise private funds (i.e. hedge funds, private equity,
real estate, private credit, credit, venture capital,
infrastructure, etc.) and/or registered products (ETFs and/or
mutual funds). The individual can take a leading role in complex
projects. The individual in this position is also responsible for
the development of client relationships and the development and
oversight of ACA junior staff.The individual should also be open to
serving as an outsourced chief compliance officer ("OCCO") to
clients. As an OCCO, the individual will be the named CCO for such
clients and will be responsible for ensuring that the compliance
program is carried out by regulatory requirements and best
practices.What you'll do:
- Lead or assist all aspects of mock regulatory examinations and
compliance program reviews (e.g., preparing document requests,
reviewing documents, conducting interviews, and drafting reports),
including overseeing and reviewing the work of project team
members.
- Perform a broad scope of work during reviews of ACA's largest
and most complicated clients, and to guide, coordinate, and
consolidate the work of colleagues during these reviews.
- Provide regulatory consulting services to clients as needed
(e.g., creating drafts of and submitting regulatory filings,
conducting forensic testing, reviewing policies, procedures,
marketing materials, and other compliance documents, answering
compliance-related questions from clients, as well as identifying
compliance-related issues and proposing resolutions).
- Manage assigned client relationships and projects proactively
and profitably, including providing expert advice and delivering a
superior client experience. Liaising with other internal
departments as necessary (finance, sales, legal) where you are the
designated account owner, including responding to clients'
questions and needs promptly and ensuring that colleagues
contributing to shared accounts do the same.
- Identify, manage, and/or support ACA special projects and
internal initiatives (e.g., drafting articles for industry
publications, participating in sales, conducting or overseeing
research on compliance issues, preparing, overseeing the
preparation of, and/or delivering internal or client training
and/or presentations).
- Formally supervise, train, evaluate, oversee, and provide
feedback to colleagues in a supervisory and project manager
capacity.
- Perform ad-hoc work/special projects as necessary to support
ACA on various client and internal initiatives.To qualify for the
role you must have:
- 8 years of industry experience. Alternatively, at least 6 years
of experience that includes some combination of the following: (i)
an examiner or attorney with the U.S. SEC, NFA, CFTC, FINRA, or
another regulatory authority or (ii) a compliance analyst or
consultant with ACA or a consulting organization comparable to
ACA.
- Advanced knowledge of relevant federal securities laws and
associated rules and regulatory positions thereunder (e.g.,
Investment Advisers Act of 1940, Investment Company Act of 1940,
Securities Exchange Act of 1934, Commodity Exchange Act of 1936,
Commodity Futures Trading Commission Act of 1974.)
- Executive presence - a professional who interacts effortlessly
with regulators and high-profile clients.Ideally, you'll also have:
- Major or concentration in compliance, law, business,
accounting, finance, and/or economics preferred.
- Supervisory experience.Skills and attributes for success:
- Demonstrated professional integrity.
- Dependable, flexible, and adaptable to new ACA initiatives and
changing client needs.
- Ability to exercise discretion and make independent judgments
on matters of significance.
- Ability to work in a fast-paced individual and small team
environment.
- Ability to establish and maintain effective working
relationships with colleagues and clients.
- Highly motivated and goal-oriented; proactive in one's own
education and career progression; volunteers for and shows
initiative on both internal and external projects and tasks.
- Dedicated to upholding ACA's high-quality standards and
customer service focus.
- Strong organizational and problem-solving skills with attention
to detail.
- Strong oral and written communication skills.
- Proficient with Microsoft Office applications and comfortable
working in a tech-enabled environment. Understanding of web-based
technology applications and willingness to provide input in
enhancements and new solutions.
- Willing to travel.Supervisory Duties Summary
- Supervise, train, evaluate, oversee, and provide feedback to
junior colleagues.What working at ACA offers:We offer a competitive
compensation package where you'll be rewarded based on your
performance and recognized for the value you bring to our business.
Our Total Rewards package includes medical and dental coverage and
401(k) plans, and a wide range of paid time off options as well as
a flexible work environment. You'll also be granted time off for
designated ACA Paid Holidays, Summer Fridays, Personal/Family Care,
and other leaves of absence when needed to support your physical,
financial, and emotional well-being. We also offer unique benefits
such as Student Debt Forgiveness and Pet Insurance.About ACA:ACA
Group is the leading governance, risk, and compliance (GRC) advisor
in financial services. We empower our clients to reimagine GRC and
protect and grow their business. Our innovative approach integrates
consulting, managed services, and our ComplianceAlpha technology
platform with the specialized expertise of former regulators and
practitioners and our deep understanding of the global regulatory
landscape.What we commit to:ACA is firmly committed to a policy of
nondiscrimination, which applies to recruiting, hiring, placement,
promotions, training, discipline, terminations, layoffs, transfers,
leaves of absence, compensation and all other terms and conditions
of employment. All qualified applicants will receive consideration
for employment without regard to race, color, religion, sex, sexual
orientation, gender identity, national origin, age, disability or
protected veteran status, or any other legally protected basis, in
accordance with applicable law.
#J-18808-Ljbffr
Keywords: Trellis Group, New York , Alternative Asset Compliance - Senior Principal Consultant, Accounting, Auditing , New York, New York
Didn't find what you're looking for? Search again!
Loading more jobs...