The Chief Compliance Officer will be responsible for:
Preparation and continuous improvement of the global annual Compliance Risk Assessment Process
Providing legal advice to the team as well as work on compliance issues
Experience working with an investment adviser Licensed attorney in good standing with a state bar Familiarity with a full range of alternative investment products and services, including private credit, private equity, hedge funds, and separately managed accounts Superior judgment, and the ability to identify issues and make reasoned decisions in a fast-paced environment
The Senior Global Compliance Auditing and Monitoring Manager should have the following qualifications:
Juris Doctor degree
5+ years combined in-house pharmaceutical compliance experience and internal audit experience. Prior compliance field monitoring experience a requirement.
Detail oriented with strong analytical and problem-solving skills, including project management
Strong writing and communication skills
Positive attitude and strong work ethic
Internal Number: 5126867
About Selby Jennings Buyside
eFinancialCareers is a career site specializing in financial services.