
Compliance Consultant - Enhanced
COMPLYPosted 6/9/2025

Compliance Consultant - Enhanced
COMPLY
Job Location
Salary Range
Job Summary
COMPLY is seeking a Compliance Consultant to join their growing team. The ideal candidate will have significant compliance experience with investment advisers, knowledge of regulatory laws and regulations, and excellent interpersonal skills. They will work with clients to provide ongoing compliance support, review regulatory documents, and participate in the development of COMPLY products and services. The role offers flexible remote work options, comprehensive benefits, and a competitive salary range of $85,000-$105,000 per year. As part of COMPLY's team, you will collaborate with passionate colleagues, ship impactful features, and contribute to groundbreaking projects. With a focus on delivering high-quality services to clients, this role is perfect for motivated and detail-oriented individuals who are passionate about compliance and regulatory affairs.
Job Description
Responsibilities:
- Work with a specified group of investment advisory firms to provide ongoing compliance support.
- Actively respond to emails and phone inquiries pertaining to client matters.
- Review investment adviser regulatory documents, including P&P Manuals, Form ADV, and marketing materials.
- Use CRM (Salesforce), messaging tools (Teams), and internally-developed software to communicate with clients and track deliverables.
- Prepare and deliver high-quality client content for conferences, webinars, and education materials.
- Participate in the development of COMPLY products and services, plus guide clients on products/modules.
- Collaborate with our sales representatives by participating in pre-sales prospect phone calls.
- Utilize your knowledge of investment advisory regulation, compliance, and the RIA business model.
Qualifications:
- Significant compliance experience with investment advisers, (ideally) as compliance consultant or chief compliance officer.
- Knowledge and understanding of the Investment Advisers Act of 1940, along with (ideally) Securities Exchange Acts, FINRA rules and state regulations governing investment advisers.
- Aptitude for engaging in complex problem solving and analytical thinking.
- Excellent interpersonal skills, with the ability to manage relationships with clients, colleagues, and stakeholders at all levels.
- Proficient in Microsoft Office Suite (Word, Excel, PowerPoint, & Outlook) and Salesforce or other CRM.
- Demonstrated ability to work effectively within a client service-oriented, collaborative environment.