Offer summary
Qualifications:
8+ years of compliance experience, Proficient with BD and RIA laws, Active Series 24 license, Real estate and fund management experience a plus, Licensed attorney a plus.
Key responsabilities:
- Serve as Chief Compliance Officer for RM Securities and RM Adviser.
- Ensure adherence to FINRA, SEC, and regulatory requirements.
- Collaborate with tech teams on compliant technology solutions.
- Review marketing materials for compliance with securities laws.
- Manage compliance-related forms, filings, and annual exams.