AVP, Investment Advisor Compliance (JD Required)
Ares Management
Over the last 20 years, Ares’ success has been driven by our people and our culture. Today, our team is guided by our core values – Collaborative, Responsible, Entrepreneurial, Self-Aware, Trustworthy – and our purpose to be a catalyst for shared prosperity and a better future. Through our recruitment, career development and employee-focused programming, we are committed to fostering a welcoming and inclusive work environment where high-performance talent of diverse backgrounds, experiences, and perspectives can build careers within this exciting and growing industry.
Job Description
The Ares Legal & Compliance Department oversees and manages Ares’ global Legal, Regulatory and Compliance functions and programs. Under the leadership of the Global Chief Compliance Officer, the Compliance and Regulatory functions are comprised of teams that operate collaboratively with a global focus, including Regulatory, which oversees all global regulatory matters including the Advisers Act, Investment Company Act and FINRA; European and Asia Pacific Compliance, which oversees region-specific compliance and regulatory matters; and Financial Crimes Prevention, which oversees Ares’ adherence to financial crimes-related rules and regulations.
Ares is seeking a talented Compliance professional to join our Legal and Compliance team to serve as an integral team member in implementing the Firm’s Registered Investment Adviser program. The ideal candidate will bring significant experience and demonstrated knowledge of compliance with complex regulatory regimes including oversight of the Firm’s 206(4)-7 Compliance program. This role will particularly focus on the implementation and maintenance of core RIA program across all business strategies across the organization with effective conflicts management with investment professionals and coordination of applicable regulatory examinations.
Primary Functions and Responsibilities
Specific responsibilities include, but are not limited to:
Actively engage with the Chief Compliance and Regulatory Officer to assist in directing the Compliance function throughout the organization
Provide consistent and ongoing Compliance guidance, partner and advise with the respective Compliance leads and their client groups on regulatory policies and procedures; proactively provide trends and analyses relating to Compliance-related activities
Present key findings and recommendations to senior leadership. Elevate issues, identify priorities and track follow-on items to ensure they are appropriately resolved. Demonstrate initiative and creativity in independently recommending and implementing solutions to business contacts, senior leaders and Compliance leadership.
Administer and continually improve the organization’s Global Compliance program with particular focus on improvement of workflow efficiencies
Collaborate closely with internal teams (investment, finance and accounting, operations and investor relations, etc.) to implement the Firm’s regulatory policies and procedures
Proactively develop, implement, and enforce effective Compliance policies and procedures in accordance with applicable laws and regulations
Maintain and demonstrate a thorough understanding of the regulations applicable to investment related activities and stay abreast of legal and regulatory developments; research and determine impact of new or revised laws and regulations on the firm’s business
Coordinate and conduct comprehensive Compliance periodic reviews, annual reviews, and risk assessment as appropriate
Identify conflicts of interest and business practices that may create risk exposure and adequately address such risk in the Firm’s policies and procedures across multiple business strategies
Identify potential areas of vulnerability and risk while developing controls to mitigate risks
Ensure procedures are appropriately implemented and documented in accordance with the Firm's compliance manuals and written supervisory procedures
Assist the Global Chief Compliance and Regulatory Officer in regulatory examinations and investigations, as appropriate
Assist in developing a high-performing and efficient Investment Adviser function
Qualifications
Education:
J.D. required with strong academic background
Experience Required:
3-5 years of relevant investment advisory regulatory experience in the alternative asset management industry, at a law firm or in-house (Big Law Firm experience is highly preferrable)
A strong understanding of SEC regulations, particularly the Investment Advisers Act of 1940; familiarity with the Investment Company Act of 1940 is a plus
Detailed knowledge of relevant regulatory requirements and industry standards
Ability to effectively partner with investment professionals and develop a deep understanding of investment products
Proven ability to work across multiple alternative asset classes in a fast-paced environment, reflecting multiple dimensions (business compliance/controls, people, and culture) and supporting multiple objectives
General Requirements:
Well-developed analytical skills and strong sense of ownership and accountability
Ability to manage challenging workflow in-fast paced, dynamic organization, managing multiple assignments in a deadline driven environment
A proficient issue spotter who sees through the complexity and is a creative problem-solver
Entrepreneurial with an eye for process improvements to increase efficiency of existing processes
Exhibits excellent judgement; knows when to escalate risks, concerns, issues and/or various messages
Ability to successfully manage multiple priorities and competing demands; result oriented
High accuracy and detail orientation
Organizational skills, demonstrated ability to manage competing priorities and lead large scale projects to completion
Excellent communication and client service skills; capability of interacting with key stakeholders to direct prioritization of program related activity
Experience and ability to proactively and continuously identify and analyze problem situations to develop an effective and improve course of action for resolution
Ability to be flexible in terms of hours in order to coordinate with team members across time zones
Comfort in dealing with ambiguity and uncertainty in a dynamic environment
Dependable, great attitude, highly motivated and a team player
Ability to handle confidential information appropriately
Reporting Relationships
Head of Investment Adviser ComplianceCompensation
The anticipated base salary range for this position is listed below. Total compensation may also include a discretionary performance-based bonus. Note, the range takes into account a broad spectrum of qualifications, including, but not limited to, years of relevant work experience, education, and other relevant qualifications specific to the role.
$250,000-$300,000
The firm also offers robust Benefits offerings. Ares U.S. Core Benefits include Comprehensive Medical/Rx, Dental and Vision plans; 401(k) program with company match; Flexible Savings Accounts (FSA); Healthcare Savings Accounts (HSA) with company contribution; Basic and Voluntary Life Insurance; Long-Term Disability (LTD) and Short-Term Disability (STD) insurance; Employee Assistance Program (EAP), and Commuter Benefits plan for parking and transit.
Ares offers a number of additional benefits including access to a world-class medical advisory team, a mental health app that includes coaching, therapy and psychiatry, a mindfulness and wellbeing app, financial wellness benefit that includes access to a financial advisor, new parent leave, reproductive and adoption assistance, emergency backup care, matching gift program, education sponsorship program, and much more.
There is no set deadline to apply for this job opportunity. Applications will be accepted on an ongoing basis until the search is no longer active.