Compliance Officer

Posted An Hour Ago
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New York, NY, USA
Hybrid
100K-145K Annually
Mid level
Fintech • Software • Financial Services
CAIS is the leading alternative investment platform for independent financial advisors.
The Role
Supports the broker-dealer compliance program through FINRA registrations and filings, employee compliance and personal trading reviews, communications surveillance, marketing compliance, compliance system administration, branch examinations, policy testing, due diligence, and regulatory initiatives. The role provides guidance across the organization and helps enhance compliance policies and procedures in response to evolving business and regulatory requirements.
Summary Generated by Built In

CAIS is the pioneer in democratizing access to and education about alternative investments for independent financial advisors, empowering them to engage and transact with leading asset managers on a massive scale through a wide variety of alternative investment products and technology solutions. CAIS provides financial advisors with a broad selection of alternative investment strategies, including hedge funds, private equity, private credit, real estate, digital assets, and structured notes. CAIS also delivers industry-leading technology, operational efficiency, and world-class client service throughout the pre-trade, trade, and post-trade experience. CAIS serves over 2,500 wealth management firms that support more than 65,000 financial advisors who oversee approximately $8.5 trillion in end-client assets.

CAIS is seeking a detail-oriented, highly organized, and proactive Associate or Senior Associate to join our Legal and Compliance team. This individual will play an important role in supporting and administering key elements of the core compliance program for CAIS Capital LLC, a FINRA-member broker-dealer.

The ideal candidate is a self-starter who brings strong analytical and communication skills, exceptional attention to detail, intellectual curiosity, and a genuine interest in regulatory compliance. We are looking for someone who is comfortable taking ownership, navigating multiple priorities, and operating in a dynamic and evolving environment.

This is an opportunity to gain broad exposure to broker-dealer compliance, take meaningful ownership of core compliance functions, and make an immediate impact within the Legal and Compliance department of a growing organization.

Responsibilities

  • Handling key FINRA registration and regulatory processes, including Firm Gateway administration, Form U4 and Form U5 filings, registration processing, miscellaneous regulatory filings, and monitoring of FINRA reports.
  • Administering employee compliance and personal trading activities, including reviews of outside investment accounts, trade pre-clearance requests, outside business activities, disclosures, and employee attestations.
  • Managing the day-to-day operation of compliance systems, effective administration, escalation, and resolution of compliance matters.
  • Conducting routine surveillance and monitoring of electronic communications
  • Supporting the review of marketing and communications materials for compliance with applicable regulatory requirements and firm policies.
  • Partnering with the Compliance Team to enhance the company’s compliance framework, including the implementation of policies and procedures as the business and regulatory environment evolves.
  • Participating in compliance oversight activities including, conducting branch office examinations, testing policies and procedures, and supporting compliance-related due diligence reviews.
  • Supporting strategic and ad hoc compliance initiatives at the direction of the Chief Compliance Officer and broader Legal and Compliance leadership.
  • Maintaining strong relationships across the organization, providing optimal compliance-related guidance and support to the business.

Qualifications 

  • 2-5 years + experience in a compliance role at a financial services firm with substantial knowledge of FINRA rules 
  • Understanding of FINRA & SEC marketing/advertising rules, and the day-to-day compliance affairs of public and private funds a plus 
  • Bachelor’s degree (required) 
  • FINRA Series 7 and Series 24 licenses (required) 
  • Exemplary oral, written, and interpersonal communication skills; ability to comfortably multi-task and meet deadlines 
  • Strong technical skills, excellent organizational skills, and strong follow-through mind-set 
  • Ability to work with colleagues to devise pragmatic and creative solutions, and to prioritize and focus on critical tasks that add value 
  • A natural ability to develop relationships, internally and externally 

CAIS is consistently recognized as a Best Place to Work, and our culture is at the heart of our success. We are committed to fostering an inclusive environment where employees can be their most authentic self and feel inspired and supported to bring their voice forward to drive community, growth, and innovation. We are an equal opportunity employer, and do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. Learn more about our culture, benefits, and people at https://www.caisgroup.com/our-company/careers

CAIS’ compensation package includes a market competitive salary, a performance bonus, and exceptional benefits. If you are located in New York, New York, the base salary range for this role is $100,000 - $145,000. Actual compensation is influenced by a wide array of factors including but not limited to skill set and level of experience.  

CAIS offers a comprehensive benefits package that includes generously subsidized healthcare with 100% employer paid dental and vision insurance, an employer matched retirement plan, wellness programs, and generous PTO and parental leave. Additionally, CAIS offers a hybrid three (3) day in-office model. For more information on our benefits and career opportunities, please visit our website: https://www.caisgroup.com/our-company/careers. 

We use technology, including AI tools, to support parts of our recruitment process such as application screening, interview scheduling, and candidate communications. These tools are used to improve efficiency and consistency, but they do not replace human judgement. All hiring decisions are made by people, and we are committed to fair and unbiased assessment of every candidate.

Skills Required

  • 2-5 years of experience in a compliance role at a financial services firm
  • Substantial knowledge of FINRA rules
  • Understanding of FINRA and SEC marketing and advertising rules
  • Understanding of compliance affairs for public and private funds
  • Bachelor's degree
  • FINRA Series 7 license
  • FINRA Series 24 license
  • Strong oral, written, and interpersonal communication skills
  • Ability to multitask and meet deadlines
  • Strong technical skills
  • Excellent organizational skills and strong follow-through
  • Ability to develop pragmatic and creative solutions collaboratively
  • Ability to prioritize critical, value-adding tasks
  • Ability to develop internal and external relationships

What the Team is Saying

Sanjam
Mark
Elisandra
Adam
Heaven-Leigh

CAIS Compensation & Benefits Highlights

  • Healthcare Strength Highly subsidized medical, dental, and vision plans are paired with mental-health support, monthly wellness reimbursements, and a coverage‑waiver allowance. These elements point to strong core health coverage with added wellness value.
  • Parental & Family Support Up to 16 weeks of fully paid parental leave is highlighted alongside family medical leave and access to an onsite Mother’s Room. The package signals meaningful support for new parents and caregivers.
  • Leave & Time Off Breadth Flexible PTO with nine paid holidays is included, with additional sick, wellness, and bereavement time noted. This breadth enables time away for both planned and unplanned needs.

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The Company
HQ: New York, NY
341 Employees
Year Founded: 2009

What We Do

CAIS is the leading alternative investment platform for independent financial advisors. The CAIS platform powers the pre-trade, trade, and post-trade lifecycle of alternative investments providing financial advisors and alternative asset managers a single operating system for scale and efficiency. CAIS serves over 2,000 wealth management firms that support more than 50,000 financial advisors who oversee approximately $6 trillion in end-client assets. Founded in 2009, CAIS is headquartered in New York City with offices in Austin and London. CAIS continues to be recognized for its innovation and leadership including awards for Alternative Investment Firm of the Year by Wealth Solutions Report, WealthTech100 List by Fintech Global, Great Places to Work by Fortune, Best RIA Platform by SPi, Best Alternative Investments Solution by Finovate, and many others. For more information about CAIS, please visit www.caisgroup.com.

Why Work With Us

As CAIS continues to grow and develop award-winning technology, we need true agents of change to join our growing team. CAIS has opportunities for every skillset—from interns to directors. If you’re looking for a transformative, welcoming culture in which personal success is supported, consider joining our team.

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CAIS Offices

Hybrid Workspace

Employees engage in a combination of remote and on-site work.

Typical time on-site: 3 days a week
HQNew York, NY
Austin, TX
London, GB
Red Bank, NJ
Learn more

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