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Senior Manager, Regulatory Compliance (Alternative Assets)

Company Description

IQ-EQ is a preeminent service provider to the alternative asset industry. IQ-EQ works with managers in multiple capacities ranging from hedge fund, private equity fund, and mutual fund launches; private equity fund administration; advisory firm set-up, regulatory registration and infrastructure design; ongoing regulatory compliance (SEC, CFTC, and 40 Act); financial controls and operational support services; compliance and operational related projects and reviews; and outsourced CFO/controller and administration services to private equity fund investments – portfolio companies, real estate assets and energy assets. Our client base is growing, and our existing clients are engaging the firm across the spectrum of our services offerings.

Job Description

Support and assist IQ-EQ’s investment adviser client by providing regulatory compliance services through oversight of the execution and continuous improvement of the client’s compliance program, which meet the requirements of SEC Rules 206(4)-7 and 38a-1, including other state and federal securities laws and regulations. Update the client’s compliance programs as necessary to keep them current with new regulatory requirements and best business practices. You will be working directly with leading private equity and hedge fund firms in the alternative asset industry under the guidance and direction from our experienced team of industry veterans. You will be facilitating our service offering by assisting, performing, and reviewing the following: 

  • Advising clients on compliance with the Securities Act, Securities Exchange Act, Advisers Act and other applicable regulatory directives with little input from senior team members.
  • Advising on and reviewing firm marketing and advertising materials for compliance with the Advisers Act and other applicable regulatory requirements.
  • Assist and oversee junior team members in the performance of compliance functions, such as personal trading review, email review, the monitoring of firm trading activities and maintaining restricted lists.
  • Perform reviews needed to complete an Annual Review of policies and procedures as required under the 
  • Advisers Act. Oversee reviews conducted by other team members.
  • Lead client calls and ensure call agendas and work product are provided in a timely manner.
  • Review drafts of required US regulatory filings.
  • Prepare and conduct training for our clients, according to the client’s needs, particularly regarding the Advisers Act.
  • Review drafts of client policies and procedures.
  • Design and monitor testing systems to ensure the efficacy of controls and surveillance programs.
  • Mentor new team members.
  • Perform other compliance-related responsibilities and special projects as needed

Qualifications

  • Bachelor's degree 
  • 6 plus years of relevant compliance experience at a registered investment adviser, law firm, or investment consulting firm, experience practicing law regarding registered investment companies preferred.
  • Working knowledge of the IA Act of 1940 and the ICA of 1940
  • Knowledge of SEC Exam practices, experience with SEC exams and mock exams preferred.
  • Knowledge of CFTC / NFA as well as FINRA requirements is a plus.

Additional Information

Salary based on experience and location ($90,000 - $145,000) and full benefits package offered. 

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Average salary estimate

$117500 / YEARLY (est.)
min
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$90000K
$145000K

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What You Should Know About Senior Manager, Regulatory Compliance (Alternative Assets), IQ-EQ

Are you ready to take your career to the next level as a Senior Manager of Regulatory Compliance with IQ-EQ? Situated in the bustling Columbus Circle of New York City, IQ-EQ is a leading service provider to the alternative asset sector, catering to hedge funds, private equity funds, and more. In this dynamic role, you'll be at the forefront of shaping compliance programs for our investment adviser clients, ensuring that they meet SEC regulations while aligning with best business practices. You'll dive deep into the world of regulations, from the Securities Act to the Advisers Act, guiding clients with confidence and expertise. Working closely with seasoned professionals, you’ll support clients in achieving seamless compliance, overseeing compliance functions performed by junior team members, and testing controls and surveillance programs. Not only will you conduct thorough compliance reviews, but you’ll also mentor new team members, lead engaging client calls, and facilitate tailored training sessions. With your experience in investment compliance and a solid grasp of regulatory frameworks, you’re the key player who can help our clients navigate the complexities of the regulatory landscape confidently. At IQ-EQ, we value innovation and continuous improvement—your knowledge of SEC examination practices and industry regulations will help drive our clients' success. Join us and be part of a thriving team in one of the most exciting sectors, all while enjoying a competitive salary and comprehensive benefits. Learn more about how you can contribute to the success of IQ-EQ!

Frequently Asked Questions (FAQs) for Senior Manager, Regulatory Compliance (Alternative Assets) Role at IQ-EQ
What are the key responsibilities of a Senior Manager, Regulatory Compliance at IQ-EQ?

As a Senior Manager of Regulatory Compliance at IQ-EQ, your primary responsibilities include overseeing compliance programs for investment adviser clients, ensuring adherence to SEC regulations like Rules 206(4)-7 and 38a-1. You'll advise on compliance, conduct reviews of trading activities, lead client calls, and prepare regulatory filings. Additionally, you'll mentor junior team members and provide training tailored to client needs.

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What qualifications are required for the Senior Manager, Regulatory Compliance position at IQ-EQ?

To be considered for the Senior Manager of Regulatory Compliance role at IQ-EQ, you should possess a bachelor's degree and over six years of relevant compliance experience in the investment advisory field. Familiarity with the Investment Advisers Act and Investment Companies Act is essential, and experience with SEC examination practices would be highly beneficial.

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How does IQ-EQ ensure continuous improvement in compliance programs for clients?

At IQ-EQ, continuous improvement in compliance programs is ensured through regular updates that reflect new regulatory requirements and industry best practices. As a Senior Manager in Regulatory Compliance, you will actively review and enhance compliance strategies, conduct annual policy reviews, and implement effective testing systems to monitor the efficacy of controls.

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What kind of training will I conduct as a Senior Manager, Regulatory Compliance at IQ-EQ?

In your role as a Senior Manager, Regulatory Compliance at IQ-EQ, you will develop and conduct training sessions focused on compliance with the Advisers Act and other pertinent regulations. These training sessions will be tailored to your clients' needs, helping them navigate complex compliance issues and enhance their overall regulatory practices.

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What is the salary range for the Senior Manager, Regulatory Compliance position at IQ-EQ?

The salary for the Senior Manager, Regulatory Compliance position at IQ-EQ varies based on experience and location, ranging from $90,000 to $145,000. This competitive salary is coupled with a full benefits package to ensure a rewarding employment experience.

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Common Interview Questions for Senior Manager, Regulatory Compliance (Alternative Assets)
Can you explain your experience with SEC regulations and how it applies to compliance?

Discuss your direct experiences with SEC regulations, highlighting any specific compliance programs you've managed or developed. Mention your familiarity with Rules 206(4)-7 and 38a-1, and share examples of how you've implemented these in previous roles.

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How do you approach mentoring junior team members in compliance functions?

Explain your mentorship philosophy, describing specific methods you've used to guide junior team members. Perhaps share a success story where your mentorship made a significant impact on a junior staff’s development or compliance performance.

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What strategies do you implement to stay updated on regulatory changes?

Share your strategies for tracking regulatory changes, which may include subscribing to industry newsletters, attending seminars, and participating in professional organizations. Emphasize your proactive approach to not only stay informed but to adapt compliance programs accordingly.

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How do you handle conflicts that arise during compliance reviews?

Talk about your conflict resolution skills and provide examples of how you've managed disputes during compliance reviews. Discuss your approach to keeping the dialogue constructive and focused on regulatory adherence and understanding.

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Describe a project where you led the development of a compliance program.

Outline a specific project where you led the development of a compliance program, including what the project entailed, your role, the challenges faced, and the successful outcomes achieved. Highlight what made your program effective.

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What are your thoughts on the role of technology in regulatory compliance?

Share your insights on how technology can enhance compliance practices. Discuss any tools or systems you’ve used for monitoring compliance and highlight any innovative solutions that improved efficiency in your previous roles.

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How do you ensure thorough communication with clients regarding compliance matters?

Discuss methods you use to maintain open lines of communication with clients. This could include regular check-ins, detailed reports on compliance status, or transparent handling of any issues that arise.

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What experiences do you have with SEC mock exams?

Share your experiences with SEC mock exams, explaining the procedures you followed, the insights gained from those experiences, and how you used those insights to enhance your compliance programs.

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How do you prioritize your responsibilities when managing multiple clients?

Detail your organizational skills and any systems you employ for prioritizing tasks. Discuss your ability to juggle multiple responsibilities while ensuring high-quality compliance service for each client.

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Can you give an example of a compliance issue you resolved effectively?

Provide an instance of a compliance issue that required your attention, including the steps you took to identify, address, and resolve the issue, demonstrating your problem-solving skills and regulatory expertise.

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Our mission is to be the best we can be for our clients but equally important for our people. Our culture allows people to grow, express themselves and be authentic. We provide opportunities so you can build connections and develop your career i...

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March 21, 2025

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