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Director of Compliance / Head of Compliance – Private Equity (CCO Track)
Location: Boston, Massachusetts
Workspace Type: Hybrid
Base Salary: $225,000 - $350,000
Total Compensation: $300,000 - $450,000
About the Company
- Established, institutional middle-market private investment firm with a long-standing track record and a highly engaged LP base.
- Multi-strategy platform spanning flagship private equity, private credit, and technology investing, with continued growth planned over the coming years.
- Boston HQ with a significant New York presence; collaborative, “one team” culture with high standards and strong internal relationships.
About the Group (Legal & Compliance)
- Lean, high-impact Legal & Compliance function led by the firm’s General Counsel.
- The team is business-facing and closely integrated with Investment, Investor Relations, and Operations—especially in periods of active fundraising and increased marketing activity.
- The role will have 1–2 direct reports initially (plus third-party vendors) and requires a hands-on operator who can also function strategically and scale the program as the firm grows.
- For the right individual, the seat can be scoped and titled at CCO level from day one; alternatively, the firm is open to a Director-level leader with clear runway to CCO as the platform expands. In both scenarios, the hired individual will head up the compliance function for the firm.
Responsibilities
- Own day-to-day leadership of the compliance program and supervise the compliance function, including team management and development.
- Act as the senior compliance partner to business groups—provide practical guidance, navigate gray areas, and deliver clear, well-reasoned responses where needed.
- Maintain final approval for marketing and investor communications, including fundraising materials and related disclosure governance.
- Lead preparation and maintenance of Form ADV and oversee Form PF filings and related private fund reporting obligations.
- Drive the annual compliance review process end-to-end, including documentation, findings, remediation planning, and program enhancements.
- Oversee the annual compliance program cycle (training, attestations, policy refreshes, annual compliance meetings) and ensure consistent execution across teams.
- Manage the compliance monitoring/testing program, including oversight of internal testing and externally performed testing.
- Coordinate targeted reviews, mock exams, and exam-readiness work with outside consultants; track remediation and evidence of closure.
- Oversee compliance systems and vendors, including ComplySci administration/governance, workflow effectiveness, and vendor management.
- Monitor and document investment allocation controls and related governance; partner with Investment/Operations to ensure controls are practical and well-documented.
- Support LP and counterparty diligence (DDQs, on-site/virtual diligence discussions, periodic program reviews) and ensure a consistent, high-quality external compliance narrative.
- Stay current on regulatory developments, exam trends, and enforcement priorities; translate changes into pragmatic updates to policies, procedures, and controls as the platform evolves (including potential future product complexity such as 40 Act / BDC considerations).
Qualifications
- Progressively responsible investment adviser compliance experience within private funds and/or multi-strategy asset management (private equity and/or private credit strongly preferred).
- Demonstrated ownership of a mature compliance program (or major components of it), including marketing review, conflicts, allocations, training, testing, vendor oversight, and exam readiness.
- Direct experience leading or materially owning Form ADV and Form PF processes; strong command of the adviser regulatory framework and private fund compliance expectations.
- Strong stakeholder management and EQ—credible with senior leadership and able to influence across functions; comfortable being the “go-to” compliance advisor.
- Proven ability to operate hands-on in a lean environment while also setting direction, building infrastructure, and scaling a program over time.
- Experience managing compliance technology (e.g., ComplySci) and third-party vendors/consultants; able to improve workflows and increase program efficiency.
- JD is beneficial but not required; candidates may come from in-house compliance leadership, private funds counsel/compliance counsel backgrounds, or regulator-to-industry paths.
Compensation, Structure, and Logistics
- Target compensation: Competitive base salary (DOE) + ~25% bonus target.
- Potential for longer-term upside through future co-invest and/or carry/investment participation (structure and timing dependent; not typically immediate day-one).
- Flexible start timing to accommodate year-end bonus cycles where appropriate.
Job ID: 1536
Industries: Venture Capital & Private Equity, Asset Management & Private Equity, Financial Services
Job Functions: Regulatory Compliance, Compliance, Fund Accounting - Alternative Investments (Private Equity / HF / VC)
Benefits: Strong Benefits - Annual Bonus, Retirement Benefits, Comprehensive Healthcare Plans, 3/2 Hybrid schedule with flexibility
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