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Heritage Investors Management Corporation

Chief Compliance Officer - Investment Advisor

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What they do

A Compliance Officer or Analyst monitors internal compliance with company policies and also company compliance with local, state and federal laws. Reviews company documents, including contracts and marketing materials; communicates with employees and develops training and internal policy materials.

$80,935 / year median in Maryland

-3% projected decline

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Job Description

Chief Compliance Officer - Investment Advisor Heritage Investors Management Corporation Bethesda, MD Job Details Full-time $150,000 - $200,000 a year 14 hours ago Benefits Profit sharing Disability insurance Health insurance Dental insurance 401(k) Paid time off Vision insurance Professional development assistance Retirement plan Qualifications Customer service
Full Job Description Chief Compliance Officer Description:
Heritage Investors Management Corporation, is searching for a Chief Compliance Officer to manage all aspects of the firm's compliance program. Heritage, based in Bethesda, MD, is an SEC-registered investment advisor managing approximately $4.9 Billion in assets. Established in 1975, Heritage has consistently delivered value to its clients by understanding their financial objectives and utilizing a disciplined, time-tested investment process that effectively achieves them. Heritage is proud of its track record and its focus on the individual client as the basis for its investment strategy.
ESSENTIAL DUTIES AND RESPONSIBILITIES
Manage, implement, operate and be responsible for the firm's compliance program. Monitor and test the firm's policies and procedures to determine the adequacy and effectiveness of the firm's compliance program. Prepare and submit all required regulatory filings and disclosure documents in a timely and accurate manner. Train and educate employees on regulatory compliance matters. Maintain well organized systemic records of the firm's compliance program. Act as a point of contact for regulators (SEC, FINRA). Maintain ongoing expertise in federal and state regulatory policies. Oversee employee personal trading and reporting. Manage the firm's surprise audit. Assist with the firm's corporate audit. Support related activities. Additional responsibilities as necessary.
QUALIFICATIONS
5+ years of experience in Financial Services compliance, specifically working with Registered Investment Advisers Strong knowledge and understanding of regulatory filings and relevant regulations and laws. Experience with Greenboard is a plus. Proficient in Microsoft Office (Word and Excel). Excellent written and oral communication skills. Strong customer service skills. Ability to work and make decisions independently within a collaborative team environment. High attention to detail and accuracy. Unquestionable integrity and dependability.
Benefits include:
Company paid medical insurance, including company contribution to a Health Reimbursement Account Company paid dental, life and disability insurance Eligibility for 401k/retirement plan and profit sharing after 1 year of employment (at first opening thereafter) Parking or public transportation assistance
Job Type:
Full-time Pay:
$150,000.00 - $200,000.00 per year
Benefits:
401(k) Dental insurance Health insurance Paid time off Professional development assistance Retirement plan Vision insurance Ability to
Relocate:
Bethesda, MD 20814: Relocate before starting work (Required)
Work Location:
In person