Job Description
Established in 2021 to manage large-scale private portfolio construction efforts, our client provides institutional investors the unique opportunity to invest alongside a well-regarded global long-term investor. They provide end-to-end special-purpose vehicle management, including corporate, financial, and administrative services for their partners.
The firm is currently registered as an Exempt Market Dealer (EMD) in Canada and a Registered Investment Advisor (RIA) in the U.S., with an expanding footprint in the UK under FCA regulations. As the Compliance Analyst, you will support the day-to-day execution of the compliance work plan, ensuring that policies, filings, and investor onboarding processes remain robust and aligned with evolving international standards. This position offers a unique vantage point into firm-wide operations and the chance to work directly with institutional clients such as pension plans, insurance companies, and banks.
Advantages
In...
The firm is currently registered as an Exempt Market Dealer (EMD) in Canada and a Registered Investment Advisor (RIA) in the U.S., with an expanding footprint in the UK under FCA regulations. As the Compliance Analyst, you will support the day-to-day execution of the compliance work plan, ensuring that policies, filings, and investor onboarding processes remain robust and aligned with evolving international standards. This position offers a unique vantage point into firm-wide operations and the chance to work directly with institutional clients such as pension plans, insurance companies, and banks.
Advantages
In...