Director of Investment Adviser Compliance

Posted Yesterday
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Denver, CO, USA
In-Office
150K-180K Annually
Expert/Leader
Professional Services • Financial Services
The Role
Leads outsourced compliance programs for registered investment advisers, funds, and private funds. Serves as CCO, advises clients on SEC regulations, oversees policies, risk assessments, monitoring, filings, and annual reviews, and represents clients during SEC examinations and enforcement actions. Manages and mentors compliance teams, supports business development, maintains client relationships, and exercises independent judgment on complex regulatory matters.
Summary Generated by Built In

Position Overview: 

PINE Advisor Solutions (“PINE”) is seeking a Director of Investment Adviser Compliance to join our team. The Director will support and advise PINE’s investment adviser clients by overseeing compliance programs for registered investment advisers, registered funds, and private funds. This is a high-impact, client-facing leadership role ideal for an experienced compliance professional who thrives on building relationships, solving complex regulatory challenges, and leading engagements across a dynamic client base. The ideal candidate will bring strong judgment, deep knowledge of applicable SEC regulations, and a proactive mindset toward managing risk and regulatory obligations.  

About PINE: 

PINE is a dynamic and fast-growing organization that provides institutional-quality outsourced solutions for funds and investment managers. Our team is driven by the belief that we are contributing to something remarkable. 

At PINE, we prioritize client service and a collaborative culture. The ideal candidate will be motivated, detail-oriented, eager to learn, and thrive in a high-performing and supportive environment. Our culture is built around an “all for one and one for all” philosophy. Your contributions matter, and we are a team that embraces challenges and believes in growing through doing. 

Responsibilities 

  • Serve as the outsourced CCO for RIAs, managing multiple client accounts across a variety of investment strategies. Provide guidance on Advisers Act, ICA, SEC regulations 
  • Leverage excellent communication, collaboration, client service and relationship management skills to guide and mentor team members; provide coaching and development opportunities 
  • Lead a team in delivering compliant programs for SEC-registered advisers 
  • Conduct regularly scheduled calls and meetings to advise clients on regulatory best practices 
  • Oversee development of key compliance work products: written policies and procedures, risk assessments, compliance manuals, codes of ethics, compliance calendars 
  • Perform annual 206(4)-7 reviews examining adviser's policies, procedures, and documentation 
  • Conduct forensic testing and ongoing compliance monitoring based on risk assessments 
  • Assist with regulatory filings such as Form ADV, Form PF, 13F, and fund compliance questionnaires 
  • Represent clients in SEC examinations and enforcement actions; develop action plans and responses 
  • Identify opportunities to enhance compliance services and add value for clients 
  • Participate in business development initiatives, conference speaking, and client meetings 
  • Exercise discretion and make independent judgments on matters of significance 
  • Thrive in a fast-paced small team environment 
  • Stay current on regulations and compliance trends; pursue continuing education 
  • Embrace new initiatives and continuously enhance internal processes and workflow 

Qualifications 

  • 10+ years in investment advisory compliance consulting or in-house
  • Prior experience as an RIA CCO
  • Bachelor's degree required, MBA or JD preferred
  • Deep expertise in Advisers Act, Investment Company Act, SEC regulations
  • Specific experience in asset management, hedge funds, private equity a plus
  • Compliance certifications like IACCP or CCEP preferred
  • Excellent written/verbal communication and presentation skills
  • Lead calls and draft responses during SEC examinations and enforcement actions
  • Existing network and business development experience
  • Speak at industry conferences; author compliance articles
  • Flexibility to work independently and in a team environment
  • Dedication to ethics, integrity, and client service
  • NFA/CFTC experience is a plus
  • Strong interpersonal skills with the ability to build effective working relationships
  • Ability to collaborate with colleagues, clients, and junior team members

Location/Remote Work 

  • Candidates who can work out of our Denver office 3-5 days per week are preferred, However, we are open to hiring remote employees located anywhere in the US with investment compliance experience for the right fit 
  • Please indicate your location and remote work interest in your application. 
  • Some periodic travel to Denver will be expected for remote hires 

Salary Range: $150,000 - $180,000 

Actual compensation will be determined based on experience, qualifications, and other job-related factors. This position may also be eligible for discretionary bonus compensation. 

Employee Benefits 

  • Health Insurance – we cover 100% of the cost for employees 
  • A comprehensive selection of medical, dental, and vision health plans 
  • Life and disability insurance 
  • 401(k) savings plan 
  • Unlimited vacation policy 
  • Paid maternity and paternity leave 

What You Can Expect From PINE 

Work-life Balance 

  • We trust you to be the expert on creating an environment that allows you to bring your best self to work. With unlimited vacation and flexible work-from-home options, we encourage a work-life balance that brings out the best in our team. 

Be a Leader 

  • At PINE, we prioritize ensuring that each team member has the chance to emerge as a leader and make substantial contributions to our company. 

Experience an Environment of Learning 

  • We place an emphasis on learning from each other and celebrating our unique expertise. There are abundant opportunities to learn and hone new skills. 
     

PINE Advisor Solutions provides equal employment opportunities to all employees and applicants for employment and prohibits discrimination and harassment of any type without regard to race, color, religion, sex (including pregnancy), age, national origin, disability status, genetic information, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by applicable federal, state, or local laws. This policy applies to all terms and conditions of employment, including recruiting, hiring, placement, promotion, termination, layoff, recall, transfer, leaves of absence, compensation, and training. 

This position is expected to remain open for approximately two weeks. The posting may close sooner if the position is filled or if a sufficient number of qualified applicants are received. 

Skills Required

  • 10+ years of investment advisory compliance consulting or in-house experience
  • Prior experience serving as an RIA Chief Compliance Officer
  • Bachelor’s degree
  • Deep expertise in the Advisers Act, Investment Company Act, and SEC regulations
  • Asset management, hedge fund, or private equity experience
  • MBA or JD
  • IACCP or CCEP compliance certification
  • Excellent written, verbal, communication, and presentation skills
  • Experience leading calls and drafting responses during SEC examinations and enforcement actions
  • Existing professional network and business development experience
  • Experience speaking at industry conferences and authoring compliance articles
  • Ability to work independently and collaboratively
  • Strong ethics, integrity, interpersonal, and client-service skills
  • NFA/CFTC experience
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The Company
HQ: Denver, CO
64 Employees
Year Founded: 2018

What We Do

PINE Advisor Solutions provides institutional-quality outsourced CFO, regulatory compliance, registered fund officers, fund distribution and operations support services to private funds, mutual funds, exempt and registered investment advisers. Our founders have managed the critical non-investment functions in the alternative and registered fund space. PINE’s founders have served as Chief Financial Officers, Chief Compliance Officers and Chief Operating Officers for both large and boutique investment firms. Services Offered: *Private Fund CFO Services *Adviser Compliance Support *Registered Fund Officers *Fund Distribution *Operations Support For more information on PINE Advisor Solutions please visit www.pineadvisorsolutions.com.

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