We are a growing Registered Investment Advisory firm located in downtown Boston. Our primary distribution channels are in the US broker-dealer and investment advisor marketplace. We are seeking a Chief Compliance Officer who can provide advisory oversight in all facets of our business. The ideal candidate will have extensive knowledge of today’s compliance environment for RIA’s and detailed experience with 1940 Act (Mutual Funds).
Key Responsibilities:
Requirements:
Benefits:
Mid-Senior level
Full-time
Criteria provided by job poster
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