Chief Compliance Officer – US

Posted 18hrs ago

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Job Description

Chief Compliance Officer building SEC registration, policies, and governance for Allocator One’s private-markets fund platform. Advising fund structuring and GP onboarding across Infra One’s US operating platform.

Responsibilities:

  • Lead the SEC registration process as a private fund adviser, including Form ADV Parts 1A, 1B, and Part 2 Adviser Brochure, and manage ongoing compliance
  • Design and implement written compliance policies covering portfolio management, conflicts of interest, fiduciary duties, custody oversight, and AML/KYC frameworks
  • Conduct annual compliance reviews and testing; prepare SEC examination responses and handle regulatory inquiries
  • Monitor evolving SEC private fund rules and translate them into practical policies
  • Define staffing, systems, and office infrastructure requirements to meet SEC expectations for adequate organizational substance
  • Establish procedures for monitoring sub-advised GPs and their compliance with fund mandates and risk limits
  • Oversee books and records management, including six-year retention, email preservation, trade capture, and decision logs
  • Coordinate with IT on cybersecurity compliance
  • Design and oversee compliance monitoring across Infra One’s portfolio of funds
  • Conduct initial and ongoing due diligence on GP sub-advisers
  • Maintain evidence of monitoring through quarterly reviews, compliance testing, and incident logs
  • Advise the US Platform Head on fund structuring, GP selection, and investor eligibility
  • Participate in investment committee meetings to identify compliance and regulatory risks
  • Own conflicts-of-interest identification and disclosure and ensure material conflicts are documented and communicated to fund investors
  • Report to the US Platform Head / Managing Director

Requirements:

  • 7–12 years of compliance experience at a registered investment adviser, private fund platform, hedge fund, or PE firm
  • Deep knowledge of the Advisers Act, Reg D, Form ADV, and SEC examination standards for private fund advisers
  • Hands-on experience with multi-fund governance, sub-adviser monitoring, and conflicts-of-interest management
  • Familiarity with custody rules, AML/KYC frameworks, and cybersecurity compliance standards
  • Prior experience with SEC registration, Form ADV filings, and examination cycles
  • Entrepreneurial compliance mindset and ability to build frameworks from scratch
  • Cross-functional fluency across operations, finance, and legal
  • Practical and proportionate understanding of regulatory requirements
  • Ability to distill complex regulatory requirements into actionable policies for non-compliance teams
  • Prior exposure to European fund regulation in Luxembourg or Ireland is nice to have
  • CPA, JD, or CFA is nice to have; CCEP is a plus
  • Exposure to infrastructure or venture fund management is nice to have
  • Must be able to work with preferred US timezone overlap with San Francisco HQ

Benefits:

  • Remote work
  • Preferred US timezone overlap with San Francisco HQ
  • 20% bonus
  • Equity: TBD (0.1%–0.3% depending on background)
  • Full ownership of the compliance operating system
  • Direct input into platform strategy and GP selection
  • Participation in investment decisions and board discussions
  • Meaningful equity stake in an early-stage platform