
1001 - 5000 employees
Founded 2011
₿ Crypto
💸 Finance
💳 Fintech
Crypto • Finance • Fintech
Kraken Digital Asset Exchange is a cryptocurrency platform that facilitates the buying and selling of over 200 cryptocurrencies, including Bitcoin, Ethereum, and many others. Founded in 2011, Kraken provides a comprehensive suite of features for both beginner and advanced traders, such as advanced trading interfaces and margin trading. The platform emphasizes industry-leading security, deep liquidity, and 24/7 customer support, making it a trusted choice for users worldwide. Kraken caters to individual investors as well as institutional clients, offering services like OTC trading and custody. The company is committed to transparency with its proof of reserves and mission-driven values. Kraken operates globally, supporting clients in over 190 countries, with a quarterly trading volume exceeding $207 billion. However, users are advised of the high risk of crypto investments and the lack of regulation in some jurisdictions.
🕒 April 6
Improve your chances of getting an interview by checking your resume score before you apply.

1001 - 5000 employees
Founded 2011
₿ Crypto
💸 Finance
💳 Fintech
Crypto • Finance • Fintech
Kraken Digital Asset Exchange is a cryptocurrency platform that facilitates the buying and selling of over 200 cryptocurrencies, including Bitcoin, Ethereum, and many others. Founded in 2011, Kraken provides a comprehensive suite of features for both beginner and advanced traders, such as advanced trading interfaces and margin trading. The platform emphasizes industry-leading security, deep liquidity, and 24/7 customer support, making it a trusted choice for users worldwide. Kraken caters to individual investors as well as institutional clients, offering services like OTC trading and custody. The company is committed to transparency with its proof of reserves and mission-driven values. Kraken operates globally, supporting clients in over 190 countries, with a quarterly trading volume exceeding $207 billion. However, users are advised of the high risk of crypto investments and the lack of regulation in some jurisdictions.
• Develop, implement, administer, and enforce the firm’s compliance program in accordance with Rule 206(4)-7 under the Investment Advisers Act of 1940 (the “Advisers Act”) and all other applicable federal and state securities laws and regulations. • Serve as the firm’s primary point of contact with the U.S. Securities and Exchange Commission, state securities regulators, and other regulatory bodies. • Design, implement, and maintain the firm’s written compliance policies and procedures reasonably designed to prevent violations of the Advisers Act and rules thereunder. • Conduct at least an annual review of the adequacy of the firm’s compliance policies and procedures and the effectiveness of their implementation, and document the results of that review. • Identify and assess regulatory risks across all business activities and develop controls to mitigate those risks. • Maintain and update the firm’s compliance manual to reflect changes in applicable laws, regulations, SEC staff guidance, and business operations. • Oversee the firm’s Code of Ethics, including pre-clearance and reporting of personal securities transactions, gifts and entertainment, outside business activities, and political contributions. • Oversee the preparation, review, and timely filing of Form ADV Parts 1, 2A (Brochure), 2B (Brochure Supplements), and Form CRS, including annual amendments and interim updates. • Ensure timely filings on any such applicable regulatory filings/ requirements including Form ADV, Form 13F, Form 13H, U4s, and U5s. • Serve as the primary liaison with the SEC’s Division of Examinations (formerly OCIE) and state securities regulators during routine examinations, inquiries, and investigations. • Develop and deliver initial and ongoing compliance training for all employees, including investment professionals, operations staff, and senior management.
• Minimum of 5–10 years of progressive compliance, legal, or regulatory experience in the investment management industry, with a significant portion focused on SEC-registered investment adviser regulation. • Deep working knowledge of the Investment Advisers Act of 1940, the Investment Company Act of 1940 (if applicable), SEC rules and regulations, and relevant state securities laws. • Demonstrated experience designing, implementing, and administering compliance programs for SEC-registered investment advisers leveraging technology solutions. • Experience managing SEC examinations and responding to regulatory inquiries. • Strong understanding of fiduciary duty, conflicts of interest management, best execution, trade allocation, custody, and marketing compliance. • Excellent written and verbal communication skills, with the ability to translate complex regulatory requirements into practical business guidance. • Bachelor’s degree required; Juris Doctor (JD) or other advanced degree. • Prior fintech driven investment advisory experience. • Experience with digital assets, cryptocurrency, or emerging financial products is a plus. • Series 65 (Uniform Investment Adviser Law Examination) or Series 66 (Uniform Combined State Law Examination), or an equivalent qualifying designation recognized by NASAA (e.g., CFA, CFP, CAMS). • Prior experience as a CCO, Deputy CCO, or senior compliance officer at an SEC-registered investment adviser. • Familiarity with CFTC regulations, including Commodity Trading Adviser (CTA) and Commodity Pool Operator (CPO) requirements, is a plus. • Experience with compliance technology platforms.
• Offers Equity • Offers Bonus
Apply Now🕒 April 2
Vice President, Regulatory Affairs leading integrated global regulatory strategies for pipeline programs at biotechnology company. Ensuring compliance with regulatory standards and corporate-wide commitment to quality principles.
🕒 April 1
VP of Regulatory & Quality leading global regulatory strategy and ensuring compliance at Adaptive. Overseeing regulatory affairs and quality assurance while collaborating with diverse teams for product development.
🇺🇸 United States – Remote
💵 $261k - $391.6k / year
💰 $125M Post-IPO Debt on 2022-09
⏰ Full Time
🔴 Lead
🚔 Compliance
🕒 April 1
Director of Regulatory Market Strategy at Veeva Systems driving innovative regulatory solutions. Collaborating with key stakeholders to enhance biotech submissions and ensure industry standards.
🕒 April 1
11 - 50
Head of Regulatory Affairs ensuring compliance in blockchain operations at Merkle Science. Leading regulatory strategies and stakeholder collaboration for cryptocurrency compliance.
🕒 April 1
Director overseeing compliance for Soles4Souls' global operations and ensuring adherence to laws and regulations. Promoting a culture of transparency and accountability within mission-driven impact worldwide.