G MASS
New York, NY
Job Details
Contract
Full Job Description
We are seeking an experienced Compliance Operations Specialist with deep expertise in broker-dealer services and financial regulatory compliance to join a high-performing team within a leading hedge fund in New York City.
The ideal candidate will be a compliance SME, with a strong background in hedge funds, broker-dealers, or prime brokerage, and an expert understanding of U.S. and global regulatory frameworks. Supporting a range of compliance operations projects and high-impact initiatives within the broker-dealer business. This individual will drive the development and implementation of scalable, robust compliance infrastructure and control frameworks across domestic and international broker-dealer operations.
Key Responsibilities:
- Act as a primary point of contact and strategic partner to the Chief Compliance Officer on compliance operations projects and broker-dealer-related matters.
- Serve as an all-round compliance subject matter expert (SME), leveraging deep expertise in buy-side and hedge fund regulation.
- Lead the development and enhancement of the Broker Dealer Services framework, including policies, procedures, and scalable infrastructure.
- Design and implement governance structures and control frameworks tailored to broker-dealer activities.
- Lead the redesign and optimization of broker-dealer memberships and CCP (Central Counterparty) relationships.
- Provide dedicated compliance support for new business initiatives and ventures, including those currently in-flight.
- Oversee and contribute to the setup and expansion of broker-dealer operations in international jurisdictions.
- Perform legal and regulatory analysis, collaborating closely with both internal and external legal counsel.
- Partner with compliance, operations, legal, and technology teams to enhance regulatory adherence, operational efficiency, and risk mitigation.
- Support regulatory audits, examinations, and inquiries, ensuring preparedness and alignment with industry standards.
- Interpret evolving regulations, assess operational impact, and deliver strategic compliance solutions.
Requirements
- Bachelor’s degree in Finance, Business, Law, or a related field.
- 10+ years of experience in financial services, particularly within hedge funds, broker-dealers, or prime brokerage.
- Deep knowledge of SEC, FINRA, CFTC, and other global regulatory frameworks.
- Proven track record in building compliance infrastructure, governance structures, and scalable frameworks for broker-dealer operations.
- Demonstrated expertise in broker-dealer memberships, CCP structures, and international expansion support.
- Strong legal analysis skills and experience collaborating with legal counsel on complex regulatory matters.
- Exceptional project management, analytical, and communication skills, with the ability to influence and collaborate across all levels of the organization.
Benefits
- Corp to Corp rate of $1250 per day.
- 12-month contract (rolling) with an immediate start.
- Fully onsite role requiring 5 days a week in the office.