
201 - 500 employees
π Compliance
π³ Fintech
βοΈ SaaS
Compliance β’ Fintech β’ SaaS
Comply is a regulatory compliance technology company (formerly ComplySci and RIA in a Box) that offers an integrated compliance platform and services for financial services firms. The platform provides solutions for employee compliance (trade monitoring, code of ethics, conflicts of interest), firm compliance (compliance calendar, risk assessments, annual review, policy builder), communications & archiving, political contribution and outside business activity monitoring, case management, reporting & analytics, and ComplyAI agentic capabilities (MCP Server) enabling teams to build custom AI agents. Comply serves private funds, wealth management & RIAs, broker-dealers, investment banks, endowments and other financial institutions, and provides services including registration, regulatory filings, managed services, consulting, and education.
π₯ 3 minutes ago
πΊπΈ United States β Remote
π΅ $110k - $140k / year
β° Full Time
π‘ Mid-level
π Senior
π Compliance
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201 - 500 employees
π Compliance
π³ Fintech
βοΈ SaaS
Compliance β’ Fintech β’ SaaS
Comply is a regulatory compliance technology company (formerly ComplySci and RIA in a Box) that offers an integrated compliance platform and services for financial services firms. The platform provides solutions for employee compliance (trade monitoring, code of ethics, conflicts of interest), firm compliance (compliance calendar, risk assessments, annual review, policy builder), communications & archiving, political contribution and outside business activity monitoring, case management, reporting & analytics, and ComplyAI agentic capabilities (MCP Server) enabling teams to build custom AI agents. Comply serves private funds, wealth management & RIAs, broker-dealers, investment banks, endowments and other financial institutions, and provides services including registration, regulatory filings, managed services, consulting, and education.
β’ Perform both on-site and office-based ongoing consulting services to financial services clients β’ Conduct on-site and remote compliance reviews of investment adviser and/or broker dealer firms β’ Provide proactive support and timely execution of service deliverables for annual Partnership engagements β’ Collaborate with our sales representatives by participating in pre-sales prospect phone calls and occasional prospect on-site meetings, and proposal creation β’ Provide guidance and advice to clients on new or existing Comply products/modules β’ Prepare and deliver high-quality client content for conferences, webinars, and education materials β’ Prepare marketing content and marketing materials as needed β’ Participate in the development and maintenance of Comply products and services β’ Assist Senior Consultants with various tasks β’ Mentor and oversee Partnership Associate Consultants
β’ Law or financial degree and/or equivalent compliance experience β’ Knowledge and understanding of the Investment Advisers Act of 1940 and/or Securities Exchange Acts, FINRA rules and regulations governing broker dealers β’ Ability to engage in complex problem solving and analytical thinking as required β’ Excellent interpersonal skills, with the ability to manage relationships with colleagues and stakeholders at all levels β’ Demonstrated ability to work effectively within a client service-oriented, collaborative environment β’ Willingness and ability to periodically travel onsite to clients for consulting duties β’ Proficient in Microsoft Office Suite (Excel, Word, PowerPoint, & Outlook)
β’ Perks offered to employees β’ Health insurance β’ Retirement plans β’ Professional development opportunities
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