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Our client is a leading global alternative investment manager with over $200 billion in assets under management. With a history spanning over three decades, the firm invests across a wide spectrum of strategies including credit, private equity, real estate, impact, and market solutions. The firm’s investment philosophy is rooted in collaboration, innovation, and disciplined execution.
Operating globally, the organization brings together deep product expertise and industry knowledge to deliver differentiated insights and value for investors, portfolio companies, and stakeholders. The firm is committed to fostering a culture that prioritizes diversity of thought, transparency, and continuous development.
Position Overview
The firm is seeking a Compliance Associate to join its Credit Compliance team in New York. This individual will support compliance oversight for the firm’s global credit platform. The role offers exposure to senior leadership and cross-functional collaboration with investment, legal, operations, and regulatory teams.
Key Responsibilities
Advise investment professionals and business groups on compliance-related matters, including affiliate considerations, conflicts of interest, and cross-trade policies
Conduct trade oversight reviews including allocations, fair pricing, and valuation support
Monitor compliance with pre- and post-trade investment guidelines and fund restrictions
Review electronic communications and investigate trade surveillance alerts
Partner with broader compliance functions to support the credit investment business
Assist in the preparation and submission of regulatory filings for private funds and investment vehicles
Identify and escalate potential conflicts of interest, coordinating resolutions in collaboration with business and compliance leadership
Enhance and maintain compliance testing processes and operational workflows
Support internal audits, regulatory examinations, and inquiries
Coordinate with third-party consultants and internal stakeholders on compliance testing and documentation
Qualifications
Minimum of 3 years of experience in a compliance role within the asset management or financial services industry
Strong understanding of investment management and private fund structures
Familiarity with credit strategies such as loan trading, direct lending, securitized products, and distressed debt
Working knowledge of information barriers, wall-crossing processes, and cleansing protocols
Excellent written and verbal communication skills; ability to effectively present complex concepts to stakeholders
Exceptional organizational skills and attention to detail
Ability to thrive in a dynamic, fast-paced environment with multiple priorities
Collaborative mindset and a proactive, solutions-oriented approach
Seniority level
Associate
Employment type
Full-time
Job function
Accounting/Auditing
Industries
Investment Management, Financial Services, and Capital Markets
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