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Assistant Director of Compliance & Investment Operations
Job in
Naples, Collier County, Florida, 33939, USA
Listed on 2026-02-16
Listing for:
Capital Wealth Planning, LLC
Full Time
position Listed on 2026-02-16
Job specializations:
-
Finance & Banking
Regulatory Compliance Specialist, Financial Consultant, Risk Manager/Analyst, Corporate Finance
Job Description & How to Apply Below
Capital Wealth Planning is a third-party asset manager who offers its investment strategies to other firms in a sub-advisory capacity. We are seeking an Assistant Director of Compliance & Investment Operations, to support and enhance core business functions across Operations, Compliance, Marketing, Reporting, and Analytics functions. This versatile role offers high visibility, cross-functional collaboration, and the opportunity to shape firm-wide decision-making through data-driven insights and regulatory expertise.
Key Responsibilities- Understand details of the firm’s investment strategies.
- Contribute to weekly and quarterly market and strategy commentaries.
- Review/update the firm’s marketing materials.
- Research/analyze to provide data for new marketing initiative and materials.
- Calculate and maintain performance composites in line with the Global Investment Performance Standards for all of the firm’s investment strategies.
- Complete quarterly and annual due diligence questionnaires on the firm and its investment strategies.
- Put together RFP packets for potential clients.
- Track internal company analytics.
- Ensure ongoing compliance with the Investment Advisers Act of 1940, SEC rules, and other applicable federal securities laws.
- Conduct compliance monitoring, testing, and reporting.
- Assist with regulatory reporting and regulatory filings.
- Ensure firm’s data is accurately reported to various third-party databases.
- Maintain documentation according to the firm’s policies and procedures.
- Collaborate and strategize with leadership to implement and produce effective internal and external partnerships.
- Champion best practices across all departments.
- Perform other duties as assigned or required.
- 5-7+ of relevant compliance and operations work experience within the financial services industry. Experience with RIAs is preferred.
- Investment Adviser Certified Compliance Professional (IACCP®) designation or willingness to obtain.
- Bachelor’s degree in finance or related field required.
- Proficiency with Microsoft Excel, Word, and PowerPoint.
- Strong verbal and written communication skills.
- Ability to communicate regulatory concepts to non-compliance individuals.
- Proficiency using Orion or a similar portfolio accounting system is preferred.
- Proficiency using Redtail or a similar CRM system is preferred.
- Experience in creating and maintaining cross-functional partner relationships.
- Resourceful nature; self-motivated and self-directed in accomplishing tasks.
- Strong analytical skills and knowledge of the financial services industry - experience with SMAs and ETFs is preferred.
$80,000 - $85,000
We offer comprehensive health benefits, PTO, 401(k) with company matching, and more.
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