FIRM
A top alternative investment manager with over $25 billion in committed capital, specializing in the financial services sector. With a collaborative culture, strong benefits, and significant growth opportunity.
Role Overview
Firm is looking to add an Associate to their Compliance team, supporting the Credit business. You’ll work closely with the CCO and assist in quarterly compliance testing, regulatory filings, and AML/KYC screening. This role is ideal for candidates with 2-4 years of compliance experience, particularly in investment advisory and credit products.
Key Qualifications:
- 2-4 years of core compliance experience in-house at a hedge fund, PE, or asset management firm
- Credit product knowledge, BDC experience a plus
- Bachelor’s degree required; JD preferred
- Strong organizational skills and attention to detail
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