Investment Compliance Consultant
Job in
Newport Beach, Orange County, California, 92659, USA
Listed on 2026-08-28
Listing for:
ProPivotal
Contract
position Listed on 2026-08-28
Job specializations:
-
Finance & Banking
Regulatory Compliance Specialist, Financial Compliance
Job Description & How to Apply Below
A globally recognized investment management organization is seeking a detail-oriented and motivated Compliance Consultant for a temporary opportunity within its Legal and Compliance team. The firm is known for its strong presence in fixed income markets and its growing focus on alternative investments and private fund strategies.
- Location:
Newport Beach, CA - Work Schedule:
Hybrid - 4 Days Onsite / 1 Day Remote - Pay Rate: $50-60/hour
- Be part of a highly respected investment management environment with exposure to global compliance operations
- Help enhance and modernize compliance processes through innovative technology solutions
- Contribute directly to regulatory monitoring and testing efforts that support business integrity and risk management
- Partner with cross-functional teams to strengthen compliance practices and operational controls
- Expand your experience within a fast-moving and collaborative financial services setting
- Assist in the execution and enhancement of compliance programs alongside global compliance teams
- Develop and improve workflows utilizing compliance technology platforms to increase efficiency and effectiveness
- Coordinate compliance-related projects, including timelines, stakeholder updates, and resource tracking
- Perform monitoring, surveillance, and testing activities tied to company compliance policies and procedures
- Support regulatory reporting efforts and help ensure alignment with changing regulatory requirements
- Work closely with internal departments to identify opportunities for process improvements and stronger controls
- Adapt quickly to evolving priorities while taking initiative on assigned responsibilities
- Bachelor's degree
- Prior experience in regulatory compliance, investment management, or related financial services environments
- At least 2 years of compliance or related regulatory experience within investment management or financial services
- Familiarity with U.S. investment adviser and broker-dealer regulations, including FINRA Rules and the Investment Advisers Act
- Strong analytical thinking, organizational abilities, and problem-solving skills
- Experience using compliance technology platforms or vendor systems
- Proficient in Microsoft Office applications, particularly Word and Excel
- Strong written and verbal communication skills with the ability to collaborate effectively across teams
- Ability to manage competing priorities in a fast-paced environment
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