Compliance Officer Private Equity
Location:Boston MA Hybrid (3 days onsite)
Compensation:Competitive base bonus & profit sharing top-tier benefits
Join a global investment firm with a long-standing reputation for excellence across private equity credit and alternative investments. This is a high-visibility role supporting the firms Capital Markets platformwith growing exposure to some of the most dynamic and in-demand investment products in the market today.
What Makes This Role Unique:
This is more than a compliance positionits a chance tobuild your brand under thoughtful tenured leadership that prioritizes mentorship and long-term growth. The compliance team is collaborative high-impact and well-integrated with the business. As a key compliance partner to investment and trading teams youll gain exposure acrossa wide range of global products and regulatory frameworkswith direct visibility intonew high-growth areas like private credit evergreen funds and non-traded BDCs.
Why Now:
Private credit is one of the fastest-growing asset classes in the industry and this team is at the center of it. With new products launching acrossEurope Asia and Australia youll gainhands-on experience navigating complex global regulatory environmentsa rare and valuable career accelerant.
What Youll Do:
- Serve as the go-to compliance partner for credit-focused private and registered funds
- Advise on trading compliance and restricted list protocols
- Lead regulatory filings includingForm ADVForm PF and board/investor reporting
- Help shape policies and strengthen the overall compliance framework
- Participate in exams testing and cross-functional compliance initiatives
What Were Looking For:
- 6 years in compliance or legal roles (investment adviser experience strongly preferred)
- Deep understanding of 1940 Act credit vehicles and private fund structures
- Strong working knowledge of Form ADV Form PF and related reporting obligations
- Clear communicator with sharp attention to detail and a collaborative mindset
- Able to operate in a fast-paced high-accountability environment with discretion
Why Apply:
- Join arespected tight-knit compliance teamwith meaningful cross-functional exposure
- Competitive comp andlong-term profit-sharing structure
- A clear career paththis is a team known for promoting from within
- Access tonew innovative product typesandcomplex global regulatory work
Compliance Officer Private EquityLocation:Boston MA Hybrid (3 days onsite)Compensation:Competitive base bonus & profit sharing top-tier benefitsJoin a global investment firm with a long-standing reputation for excellence across private equity credit and alternative investments. This is a high-vi...
Compliance Officer Private Equity
Location:Boston MA Hybrid (3 days onsite)
Compensation:Competitive base bonus & profit sharing top-tier benefits
Join a global investment firm with a long-standing reputation for excellence across private equity credit and alternative investments. This is a high-visibility role supporting the firms Capital Markets platformwith growing exposure to some of the most dynamic and in-demand investment products in the market today.
What Makes This Role Unique:
This is more than a compliance positionits a chance tobuild your brand under thoughtful tenured leadership that prioritizes mentorship and long-term growth. The compliance team is collaborative high-impact and well-integrated with the business. As a key compliance partner to investment and trading teams youll gain exposure acrossa wide range of global products and regulatory frameworkswith direct visibility intonew high-growth areas like private credit evergreen funds and non-traded BDCs.
Why Now:
Private credit is one of the fastest-growing asset classes in the industry and this team is at the center of it. With new products launching acrossEurope Asia and Australia youll gainhands-on experience navigating complex global regulatory environmentsa rare and valuable career accelerant.
What Youll Do:
- Serve as the go-to compliance partner for credit-focused private and registered funds
- Advise on trading compliance and restricted list protocols
- Lead regulatory filings includingForm ADVForm PF and board/investor reporting
- Help shape policies and strengthen the overall compliance framework
- Participate in exams testing and cross-functional compliance initiatives
What Were Looking For:
- 6 years in compliance or legal roles (investment adviser experience strongly preferred)
- Deep understanding of 1940 Act credit vehicles and private fund structures
- Strong working knowledge of Form ADV Form PF and related reporting obligations
- Clear communicator with sharp attention to detail and a collaborative mindset
- Able to operate in a fast-paced high-accountability environment with discretion
Why Apply:
- Join arespected tight-knit compliance teamwith meaningful cross-functional exposure
- Competitive comp andlong-term profit-sharing structure
- A clear career paththis is a team known for promoting from within
- Access tonew innovative product typesandcomplex global regulatory work
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