Location: New York,NY, USA
Our client, a New York City-based private fund that invests in real estate, debt and equity assets, is seeking a compliance manager. In this role, you will be responsible for assisting in activities related to the development, implementation and maintenance of the fund's compliance program and helping to ensure firm compliance with applicable rules and regulations. This person will report directly to the firm's Chief Compliance Officer. 2-4 years of Registered Investment Advisor (RIA) experience is required.
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