<Back to Search
Compliance Professional
Denver, COMarch 31st, 2026
Compliance Associate Denver, COStep into a high-impact role with an investment organization as a Compliance Associate. This position offers the opportunity to contribute meaningfully within a well-established Legal & Compliance team, supporting regulatory initiatives and strengthening internal controls. This is an excellent opportunity for a proactive compliance professional to make an impact in a high-performing environment alongside industry leaders.
Compliance Associate Benefits & Compensation:
Competitive base salary commensurate with experience
Comprehensive medical, dental, and vision insurance
401(k) program and generous paid time off
Collaborative culture with ongoing opportunities for professional growth
Compliance Associate Requirements & Qualifications:
Bachelor's degree required; business, finance, accounting, legal studies, or analytics backgrounds are particularly applicable
35 years of relevant compliance experience within an SEC-registered investment adviser, private funds platform, regulatory body, or consulting environment
Strong understanding of the regulatory framework governing investment advisers
Experience supporting Code of Ethics oversight, including personal trading reviews, outside business activity monitoring, and related employee compliance matters
Working familiarity with AML/KYC standards and ongoing monitoring responsibilities
Ability to review and interpret fund documentation, including partnership agreements
Clear, confident communicator with strong writing skills and a professional presence
Advanced proficiency in Microsoft Office tools, especially Excel, Word, and PowerPoint
Compliance Associate Preferred Background & Skills:
Exposure to marketing compliance considerations under current SEC marketing regulations
Practical understanding of identifying and mitigating conflicts across funds and investor relationships
Experience working within compliance technology platforms (ComplySci or similar systems is advantageous)
Demonstrated ability to analyze regulatory issues and contribute to policy enhancements
Self-directed professional with strong ownership mentality and a proactive approach to problem-solving
Showing all 39,227 matching similar jobs
- Investment Analyst
- New York Trade Finance Associate
- Litigation Partner / Group (Commercial, Securities, Class Actions, White Collar & Regulatory Attorneys) for Fast-Growing AmLaw Firm
- Litigation Partner / Group (Commercial, Securities, Class Actions, White Collar & Regulatory Attorneys) for Fast-Growing AmLaw Firm
- Senior VP, Funds Transfer AML Compliance Leader
- Compliance Risk Management Lead (Investment Banking) - Vice President
- Sr BSA Specialist
- Credit Officer, Global Wealth & Investment Management
- Director, Corporate Securities & Governance Counsel
- VP Lead Auditor - Financial Controls and Regulatory Reporting
- Operations Associate - Trade Processor
- Manager, Compliance Risk
- Federal Risk & Compliance Director
- Federal Risk & Compliance Director
- Federal Risk & Compliance Director
- Federal Risk & Compliance Director
- Bank Compliance Officer - Job # 3333
- Houston Legal, Risk and Compliance Intern - 2027
- Investment Banking Analyst - FIG Boutique - NYC
- LOB Risk Specialist Sr
- Principal Associate, Product Operations andamp; Process Management - AML Next Gen Investigator Platforms
- Bank Loan Manager
- Governance, Risk, and Compliance Associate - Asset Management Consulting
- Federal Risk & Compliance Director
- Managing Director, Investment Banking - Industrials
- Senior Trade Support Specialist - Banking operations processing - New York, New York, United States
- Corporate Governance & Securities Paralegal
- Risk Management - Credit Risk Insurance - Executive Director
- Risk Management - Commercial & Investment Bank Credit Risk Hedge Funds Associate
- Audit, Risk and Compliance Intern
- VP - Prime Brokerage Risk
- Risk Management - Commercial & Investment Bank Credit Risk Hedge Funds Associate
- Compliance Team Leader (North APAC) - Hong Kong
- Legal & Compliance Associate — Growth & Regulation Focus
- Managing Director, Investment Banking - Industrials
- Credit Officer, Global Wealth & Investment Management
- Senior Transaction Lawyer – Structured Finance & Funding
- Senior Anti-Abuse Security Engineer, Product Security Equity
- Asset Mgmt Ops Associate — Investor Services & Trade Ops
- Investment Trade Operations Analyst