Oversees broader planning for the investment company compliance program
Manages large projects and processes to help monitor Fund compliance
Identifies, investigates, and reports compliance risks
Prepares quarterly communications to the Fund Board
Conducts complex investigations in response to complaints
Reviews and approves reports on the results of compliance initiatives
Requirements
5+ years of Mutual Fund Compliance experience required
University degree in Finance, Business or other business-related field
Overall understanding of mutual funds (open-end, closed-end, and interval), types of mutual funds (Equity, Municipal Fixed Income, Public Real Assets, Public Real Estate, Taxable Fixed Income), and exchange-traded funds (ETFs).
Extensive knowledge of the Investment Company Act of 1940