Compliance Analyst

Posted Yesterday
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Fairport, NY, USA
In-Office
80K-100K Annually
Mid level
Financial Services
The Role
Supports the firm’s compliance program across investment adviser, broker-dealer, and fund activities. Responsibilities include maintaining procedures, regulatory filings, risk assessments, vendor reviews, marketing and communications surveillance, sales practice supervision, branch audits, and regulatory examinations. The analyst monitors regulatory developments, updates compliance programs, supports training and reporting, and partners with legal, marketing, and business teams on initiatives.
Summary Generated by Built In

Summary

Manning & Napier is seeking a Compliance Analyst to report to the Chief Compliance Officer (CCO) and play an integral role in the firm’s compliance program and regulatory affairs. This role will work closely with the CCO and broader compliance/legal team to foster the firm’s culture of compliance and support the design, implementation, and ongoing administration of the firm’s compliance framework. This position offers broad exposure to the Firm’s various compliance programs, including investment adviser, broker-dealer and fund compliance, regulatory filings, marketing reviews, and strategic business initiatives. Specific duties may be adjusted over time as the Compliance Team and business needs evolve.

The ideal candidate is detail-oriented, intellectually curious, organized, and comfortable operating in a fast-paced environment, with evolving business priorities.

Responsibilities

  • Support various functions related to the maintenance of Compliance Programs, including procedure updates, process implementation, annual assessments, review of exceptions, and training
  • Stay current on industry trends and changes to regulations and legislation and assist in evaluating potential impact and updating compliance programs
  • Assist with compliance reporting, risk assessments, annual reviews, and vendor reviews
  • Support the review, monitoring, and filing of regulatory disclosures, including SEC and FINRA filings
  • Maintain and oversee all communications-related policies and procedures
  • Serve as primary liaison between Marketing and Compliance, and review and approve marketing material, Requests for Information and Requests for Proposal
  • Administer and perform electronic communications surveillance and maintain related policies and procedures
  • Support routine supervision over sales practice policies and procedures
  • Conduct branch office audits and support internal and external regulatory examinations
  • Participate in Compliance Department meetings, training, and cross-training initiatives
  • Assist with product and corporate initiatives and other projects, as needed

Qualifications

  • Bachelor’s degree, with a strong record of academic achievement
  • 3+ years of compliance experience in the financial industry or related field
  • Active SIE, Series 7, 24, and 63 or 66 licenses, or attainment of required licenses within the first year
  • Strong communication and organizational skills, and high attention to detail
  • Ability to adapt to ever-changing regulatory environment and address competing/conflicting demands
  • Strategic problem solver committed to collaboration, innovation, and team function, with the highest standards of personal and professional integrity and ethics

Compensation: $80,000-$100,000 expected base salary

Skills Required

  • Bachelor's degree with a strong record of academic achievement
  • 3+ years of compliance experience in the financial industry or a related field
  • Active SIE, Series 7, Series 24, and Series 63 or 66 licenses, or ability to attain required licenses within the first year
  • Strong communication and organizational skills
  • High attention to detail
  • Ability to adapt to changing regulations and manage competing or conflicting demands
  • Strategic problem-solving, collaboration, innovation, integrity, and professional ethics
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The Company
HQ: Fairport, NY
284 Employees
Year Founded: 1970

What We Do

Manning & Napier provides a broad range of investment solutions through separately managed accounts, mutual funds, and collective investment trust funds, as well as a variety of consultative services that complement our investment process. Founded in 1970, we offer a wide variety of U.S. and non-U.S. equity, fixed income, ETF-based, and multi-asset class strategies. We serve a diversified client base of high-net-worth individuals and institutions, including 401(k) plans, pension plans, Taft-Hartley plans, endowments and foundations, as well as third party Advisors. For many of these partners, our relationship goes beyond investment management and includes customized solutions that address key issues and solve client-specific problems. We are headquartered in Fairport, NY.

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