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Senior Investment Compliance Analyst, Financial Crimes
Location: Boston, Massachusetts
Workspace Type: Hybrid
Base Salary: $90,000 - $110,000
We’re working on a Senior Investment Compliance Analyst opportunity with a leading global investment platform. This role sits within a highly visible compliance function and is focused on anti-financial crime matters, including KYC, AML, sanctions, and broader due diligence support across investors, counterparties, portfolio companies, and transactions.
This is a strong opportunity for someone with relevant AML/KYC or broader financial crime compliance experience who wants to join a sophisticated, collaborative environment and deepen their exposure within private markets. The seat offers a blend of hands-on diligence work, policy and process support, cross-functional partnership, and exposure to complex ownership structures and risk matters.
Company / Team / Position Highlights
- Highly visible role within a respected compliance organization, partnering closely with Legal, Operations, deal teams, and global stakeholders
- Opportunity to focus on meaningful anti-financial crime work across counterparties, investments, portfolio companies, and related transactions
- Strong mix of analytical and advisory work, including beneficial ownership analysis, sanctions and adverse media screening, ongoing monitoring, and policy/process support
- Excellent platform for someone looking to build long-term compliance experience within a premier private markets environment
- Collaborative culture with strong exposure across teams and business lines
Key Responsibilities
- Support anti-financial crime and KYC processes across investors, counterparties, portfolio companies, and investment activity
- Review ownership structures and identify ultimate beneficial owners across complex entities
- Conduct sanctions, watchlist, and adverse media screening and assess potential matches
- Partner with Legal, Operations, deal teams, and external counsel to facilitate diligence and documentation
- Assist with maintaining and enhancing AFC/KYC policies, procedures, and internal controls
- Support ongoing monitoring, risk escalation, and internal review of higher-risk matters
- Help manage systems, records, and documentation tied to the broader AFC/KYC program
- Monitor regulatory developments and assist with implementation of new requirements
Qualifications
- Strong understanding of KYC/CDD principles and a risk-based approach to due diligence
- Working knowledge of AML laws and regulations applicable to investment advisers and broker-dealers, including the Bank Secrecy Act
- Familiarity with sanctions frameworks such as OFAC, EU, and UK HMT
- CAMS or similar certification is a plus
Job ID: 1673
Industries: Venture Capital & Private Equity
Job Functions: Regulatory Compliance
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