
 
						 
						 
						 
						 
						 
						 
						 
						 
						
																Company name
																
																	Dinsmore & Shohl LLP.																
															
														  Location 
															
																  Cincinnati, OH, United States															 
														
														  Employment Type 
															
																  Full-Time															
														
														  Industry 
															
																  Clevel, Executive, Compliance, 100k															
														
																Posted on
																
																	Nov 26, 2022																
															
Profile
															Communicate regulatory changes and trends with the client’s management team and their employees, representatives, etc.
Perform and/or oversee periodic testing of written policies and procedures to determine ongoing compliance
Perform trading and best execution reviews; monitor/review personnel trading for conflicts of interest
REQUIREMENTS
Ability to oversee and carry out the implementation and on-going execution and enhancement of a full-scale compliance program
Ability to work independently in a high demand/high productivity environment
Work efficiently with high attention to detail and the ability to multi-task
Carry a high level of team orientation; possess strong interpersonal communication skills and a passion to help team members and clients
Demonstrate integrity—maintain client trust, confidentiality and code of ethics
Strong verbal and written communication skills
Dependable, accountable, adaptable, and flexible
Ability to enthusiastically support and promote the goals of our firm and its clients
EDUCATION AND EXPERIENCE
Bachelor's degree (B.A.) or equivalent from four-year College or University
5-7 years or more experience in financial industry compliance and/or operations; Preferably in a manager, officer or director role
Experience with the current and proposed financial regulatory environment (SEC, FINRA, DOL/ERISA, CFTC)
Knowledge of Securities Act of ‘33, Investment Advisers Act of ‘40, Investment Company Act of ‘40 and related federal and state regulations
Experience with financial industry regulatory requirements, forms & systems required; Regulatory audit/exam experience preferred
Specific knowledge of rules and exemptions governing hedge funds, private equity funds, ’40 Act Funds and commodity pools helpful
Familiarity with GIPS and other industry standards are a plus
For more information: Please email  jobs@dinsmore.com														
Company info
														Dinsmore & Shohl LLP.
Website :	http://www.dinsmore.com/
													
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