Affirm Partners
Fund Compliance Analyst - Private Equity
Affirm Partners, Miami, Florida, us, 33101
We are working with a $5B+ AUM multi-strategy private equity fund based in the Miami area seeking an experienced Compliance Analyst. This is an exciting opportunity for a Compliance Analyst with 2+ years of fund administration experience to be part of a fast-paced, entrepreneurial team and amazing growth potential.
The ideal candidate will have extensive experience monitoring and advising private equity funds on regulatory, financial and internal compliance matters. They will play a crucial role in the success of the fund by managing compliance, conducting risk assessments, and supporting the development of compliance programs that align with the firm’s investment objectives and ongoing operations. The role will report to the fund’s Chief Compliance Officer and General Counsel.
The position offers a competitive compensation package, including relocation support for the right candidate. It requires in-office presence from Monday to Thursday, with the option to work from home on Fridays.
If you are a funds administration or compliance specialist ready to join a premier multi-strategy private equity fund with a demonstrated track record of success and , we encourage you to apply.
Key ResponsibilitiesMonitor and assess compliance with applicable laws, regulations, and internal policies for private equity funds.Conduct regular compliance reviews and audits to identify potential risks and recommend corrective actions.Assist in the development and implementation of compliance programs and training.Stay informed about changes in regulations affecting the private equity industry and assess their impact on the firm.Collaborate with legal and finance teams to support investment transactions and fund operations.Prepare compliance reports for management and regulatory bodies as needed.Respond to compliance inquiries and provide guidance on regulatory issues.
QualificationsBachelor’s degree in finance, accounting, economics, or a related field.2-5 years of experience in compliance, fund administration, or a related area, preferably within private equity or financial services industries.Strong understanding of relevant regulations (e.g., SEC, FINRA) and compliance best practices.Excellent analytical skills and attention to detail.Strong communication and interpersonal skills.Ability to work independently and collaboratively in a fast-paced environment.
The ideal candidate will have extensive experience monitoring and advising private equity funds on regulatory, financial and internal compliance matters. They will play a crucial role in the success of the fund by managing compliance, conducting risk assessments, and supporting the development of compliance programs that align with the firm’s investment objectives and ongoing operations. The role will report to the fund’s Chief Compliance Officer and General Counsel.
The position offers a competitive compensation package, including relocation support for the right candidate. It requires in-office presence from Monday to Thursday, with the option to work from home on Fridays.
If you are a funds administration or compliance specialist ready to join a premier multi-strategy private equity fund with a demonstrated track record of success and , we encourage you to apply.
Key ResponsibilitiesMonitor and assess compliance with applicable laws, regulations, and internal policies for private equity funds.Conduct regular compliance reviews and audits to identify potential risks and recommend corrective actions.Assist in the development and implementation of compliance programs and training.Stay informed about changes in regulations affecting the private equity industry and assess their impact on the firm.Collaborate with legal and finance teams to support investment transactions and fund operations.Prepare compliance reports for management and regulatory bodies as needed.Respond to compliance inquiries and provide guidance on regulatory issues.
QualificationsBachelor’s degree in finance, accounting, economics, or a related field.2-5 years of experience in compliance, fund administration, or a related area, preferably within private equity or financial services industries.Strong understanding of relevant regulations (e.g., SEC, FINRA) and compliance best practices.Excellent analytical skills and attention to detail.Strong communication and interpersonal skills.Ability to work independently and collaboratively in a fast-paced environment.