Associate Director, Risk & Compliance

Reposted 9 Days Ago
Be an Early Applicant
New York, NY, USA
In-Office
200K-266K Annually
Expert/Leader
Angel or VC Firm • Financial Services
The Role
The role involves providing regulatory compliance services, managing compliance programs, advising on rules, and monitoring new product compliance for IFM Investors.
Summary Generated by Built In

Associate Director, Risk & Compliance

 

About Us

 

IFM Investors is a global asset manager, founded and owned by pension funds, with capabilities in infrastructure equity and debt, private equity, private credit, real estate and listed equities. 

Our purpose is to invest, protect and grow the long-term retirement savings of working people. We believe healthy returns depend on healthy economic, environmental and social systems - and these are evolving on a scale never experienced before. To find opportunity, build value and meet the needs of future generations, you need scale, skill and expertise. That’s what IFM Investors has built up over 30 years.

With assets under management of approximately $266.1 AUD billion (at 31 December 2025), we prioritise the interests of over 831 institutional investors worldwide. IFM operates from 16 offices across Australia, Europe, North America and Asia.

For more information, visit ifminvestors.com.

 

The Opportunity

At IFM, you’re not just part of an investment company – but an invested one. We see the work we do as the chance to take sustainable, responsible steps forward for millions of people around the world.

So, we have made sure to create a workplace that’s inclusive, accountable and collaborative. Where you’re given the opportunities to make a meaningful contribution and grow your skills. All while feeling valued and supported for who you are and what you bring to the team.

Along with the chance to make a meaningful, positive difference from day one, we offer a competitive salary and generous leave entitlements. Our hybrid and flexible approach can vary by team and role, it is built around trust. We encourage our people to manage their work life rhythm in a way that works best for them and their teams.

 

Business Overview


Risk & Compliance works closely with our business to help ensure we meet our risk and compliance obligations, including anti-money laundering, fraud risks, conflicts of interest, and regulatory reporting.


The Role


Assists the Director, Risk & Compliance in the provision of regulatory compliance services, applicable to a registered investment adviser and broker dealer, to all business units within the IFM Investors Group


Strategic Planning

  • Assist in the management of IFM’s compliance program and strategic initiatives with a focus on regulatory requirements, new product development and other obligations:
  • Provide compliance advisory services to business units with respect to rules, activities, and best practices
  • Contribute to other strategic projects including advisory work associated with new product development and implementation
  • Collaborate with stakeholders to monitor and track the compliance and regulatory requirements of new products
  • Strengthen the new product framework and process from a compliance perspective to ensure robust identification, assessment and monitoring of any regulatory issues
  • Manage regulatory filings including Form ADV, Form PF, Form Ds, OSC filings, routine broker dealer related filings such as U4s, U5s
  • Manage annual compliance reviews for registered investment advisers and a broker dealer
  • Assist with a global compliance monitoring plan as it relates to internal risk and compliance reporting including Code of Ethics reporting, expense allocations, deal allocations, AML queries, marketing material review, etc.
  • Review marketing and brand documents for compliance with advertising rule requirements from a US and Canadian perspective
  • Assist with initial, annual and ad hoc compliance training
  • Monitor regulatory change as applicable to IFM Investors
  • Act as a secondary point of contact for regulators (e.g. SEC, FINRA, OSC, etc.).
  • Assist with AML compliance obligations and queries including investor onboarding and KYC issues
  • Update policies and procedures
  • Engage and manage service providers including compliance consultants and outside counsel
  • Collaborate with global stakeholders to ensure consistency in approach with respect to executing the compliance program
  • Other responsibilities as required

Business Performance

  • Provide timely expert advice to stakeholders on compliance-related matters

  • Coordinate and liaise with key internal stakeholders to successfully deliver projects within deadlines

  • Assist in the development of Risk & Compliance team members and the overall capability of the function, which can include training and mentoring staff

Policy and Process Management

  • Oversee and contribute to the development and maintenance of IFM Group policies and procedures to ensure effective compliance and risk management outcomes are achieved

Your Background and Experience

  • Significant financial services industry experience in compliance roles with a registered investment adviser and/or broker dealer

  • Sound investment, financial market and product knowledge

  • Minimum 10+ years of compliance advisory experience with specific involvement in new product development from design to launch

  • Tertiary qualifications in law, IT, commerce, accounting, finance, economics, or related field

  • May have post-graduate qualifications

  • FINRA Series 7, 24 and/or 14 licenses a plus In-depth understanding and knowledge of the market and products offered or to be offered by IFM Investors

  • Understanding of regulatory requirements as they relate to IFM Investors investment and governance processes

  • Strong understanding of investment management processes.

  • Sound understanding of US and Canadian laws, regulations and governance requirements as they relate to IFM Investors

  • Experience in monitoring, reporting and applying regulations to business practices (e.g., evaluating new and existing products, applying a Code of Ethics to areas such as personal trading, market abuse, gifts and entertainment, and political contributions; marketing material reviews)

  • Strong knowledge of products that are globally distributed (ideally across the infrastructure equity and/or infrastructure debt strategies)

  • Knowledge of private funds industry, broker dealers or other closely related industries

  • Strong writing and presentation skills and keen attention to detail

  • Interest in joining and adding value to a global team with the ability to communicate effectively across jurisdictions

  • Proficient with Microsoft products and the ability to manipulate data

  • Experience preparing and submitting regulatory filings including U4s, Form ADV, Form PF, FRB forms, Form Ds, etc.

     


The anticipated base salary range for this position is listed below. Exact compensation amount may vary and will be determined by several components including but not limited to the individual’s experience, skills and qualifications. Total compensation for this role includes eligibility for a discretionary performance-based bonus.


$200,000 – $240,000


IFM also offers robust benefits offerings which include but is not limited to Comprehensive Medical, Dental and Vision plans (significant employer subsidy), 401(k) program with company match; Flexible Savings Accounts (FSA), Life Insurance, Long-Term Disability (LTD) and Short-Term Disability (STD) Insurance; Employee Assistance Program (EAP), Commuter Benefits and Headspace subscription.


Ready to invest in what matters?


With IFM, that includes your own career. Visit ifminvestors.com/careers to find out more.

IFM Investors is committed to promoting an inclusive culture where all employees are valued and recognised for their unique qualities, backgrounds, and perspectives. We champion all groups regardless of race, gender, religion, sexual orientation, age, disability, or family status. We are committed to providing individuals with disabilities reasonable adjustments to participate in the job application or interview process. Please contact us if you require specific support at any stage of the recruitment process at [email protected]

Skills Required

  • Significant financial services industry experience in compliance roles with a registered investment adviser or broker dealer
  • Minimum 10+ years of compliance advisory experience
  • Tertiary qualifications in law, IT, commerce, accounting, finance, economics, or related field
  • Strong understanding of US and Canadian laws, regulations and governance requirements
  • Proficient with Microsoft products and ability to manipulate data
  • Experience preparing and submitting regulatory filings including U4s, Form ADV, Form PF
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The Company
HQ: Melbourne, VIC
1,534 Employees

What We Do

IFM Investors is a global asset manager, founded and owned by pension funds, with capabilities in infrastructure equity and debt, private equity, private credit, real estate and listed equities. Our purpose is to invest, protect and grow the long-term retirement savings of working people. We believe healthy returns depend on healthy economic, environmental and social systems - and these are evolving on a scale never experienced before. To find opportunity, build value and meet the needs of future generations, you need scale, skill and expertise. That’s what IFM Investors has built up over 30 years. With assets under management of approximately $243.3 AUD billion (as at 30 September 2025), we prioritise the interests of over 812 institutional investors worldwide. IFM operates from 16 offices across Australia, Europe, North America and Asia. For more information, visit ifminvestors.com.

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