<Back to Search
Junior Compliance Officer
New York, NYMarch 31st, 2026
Junior Compliance OfficerNew York, NY, US
Founded in 1991, we are a global quantitative and systematic asset management firm applying a scientific approach to finance to develop alternative investment strategies that create value for our clients. We value innovation, dedication, collaboration and the ability to make an impact and together we create an environment for talented and passionate experts in research, technology and business to explore new ideas and challenge assumptions.
About The RoleThe CFM Legal & Compliance team is involved in complex projects requiring a deep understanding of capital market regulations across the world. If you're a team player, have brilliant attention to detail and want to work in an international environment specialized in financial markets, come and join our team!
The Compliance team seeks a junior compliance officer whose duties will include:
Keep informed on latest rules, regulations, and best practices with focus on North America and participate in updating of the firm's regulatory policies
Supervise compliance with laws, regulations, compliance manuals and code of ethics requirements with focus on staff and operations based in North America
Work closely with the business development team on new initiatives including reviewing of marketing documentation
Assist and train staff on compliance matters
Manage periodic regulatory filings; maintaining books and records and ensuring completion of files
Operate second line controls to materialise compliance with regulatory, legal, and operational duties
Participate in audits of internal teams as well as main external providers
Report exceptions to management, issue and follow up of recommendations
Skillset Requirements/QualificationsYou have a master's degree in business, law or engineering from a highly regarded establishment
You ideally have at least 3 years of experience in similar work at an asset manager
You are a team player with attention to detail and capacity to deliver
You are comfortable working independently
You have excellent written and oral presentation/communication skills
You have a good understanding of regulatory framework applying to Asset Managers (US Adviser Act, US Securities and Exchange Act, Market Abuse, etc.) as well as financial markets and financial products
You have a good capacity to use IT systems to resolve business problems
Base salary 120 -136K USD depending on experience
+ variable compensation
+ competitive benefits package
Equal Opportunities StatementWe are continuously striving to be an equal opportunity employer and we prohibit any discrimination based on sex, disability, origin, sexual orientation, gender identity, age, race, or religion. We believe that our diversity, breadth of experience, and multiple points of view are among the leading factors in our success.
CFM is a signatory of the Women Empowerment Principles
2,713 matching similar jobs near New York, NY
- Manager, Financial Due Diligence
- Regulatory Reporting Specialist
- Audit Supervisor - Global Corporate & Investment Banking
- Credentialing Compliance Analyst-REMOTE
- KYC Analyst (6-Month Contract Position)
- KYC Analyst (6-Month Contract Position)
- Audit Supervisor - Global Corporate and Investment Banking
- Regulatory Analyst - Financial Services
- Compliance Analyst, FIU
- SOX & Compliance Lead
- KYC Advisory & Controls Associate
- Compliance Analyst
- Operational Compliance Auditor
- Financial Institutions Department-FLU Risk Management Intern
- Broker Dealer Regulatory Governance Advisory Compliance Officer
- Business Analyst AML
- IT Auditor
- Vice President, Operational Risk Officer- Financial Crimes Risk
- Regulatory Reporting Specialist
- Director - Bank Regulatory Compliance Officer, TD Securities (US)
- Corporate Compliance Specialist
- Assistant Vice President of Compliance
- Assistant General Counsel, Compliance and Regulatory
- Business Analyst Capital Markets and AML Experience
- Internal Auditor Staff
- Regulatory Business Analyst - Investment Banking
- Bank KYC Analyst -Japanese Bilingual
- Remote AML Compliance Analyst: CDD/EDD & TM Focus
- Bilingual BSA/AML Compliance Analyst -OFAC
- Compliance - Regulatory Strategy Senior Officer
- CGP: Risk Analyst
- Regulatory Fintech Associate - Payments & Compliance
- Legal and Compliance Analyst - Japanese
- Senior Consultant - Trade Finance Sanctions and Controls Risk (SME)
- KYC Vetting Analyst
- Internal Auditor - Bilingual Japanese
- Internal Audit- AML & Financial Crimes
- Senior Compliance Officer - Monitoring and Testing (Associate) - TD Securities (US)
- Audit Analyst - RBC U.S. Financial Crimes
- AML Compliance Strategy Lead - Data & Controls