Leading buy side consulting firm in New York is looking for an MD level hire to manage the Compliance practice of their New York Office.
You will be responsible for leading a large team which provides tailored compliance and regulatory support to SEC registered & unregistered investment advisors, broker dealers and CPO/CTAs.
The ideal candidate must have experience in the Hedge/Private fund compliance field and/or in the compliance consulting field and/or at a regulator (SEC) handling examinations and regulatory issues.
Knowledge of the Investment Advisers Act of 1940 is required with CFTC/FINRA/NFA/broker dealer compliance a plus.
No travel required.
No experience in business development required.
For more information please give me a call on 646 766 1212 or apply online.