Reporting to the Chief Compliance Officer, this role will conduct compliance monitoring, testing, risk assessments, regulatory reporting, and examination support. The Senior Compliance Analyst will collaborate across the organization to ensure policies, disclosures, and business practices meet regulatory requirements and industry standards. Our firm includes an SEC-registered investment adviser, a registered investment company, and trust companies regulated in Nebraska and South Dakota.
What you'll do
Fiduciary & Trust Review: Conduct regular compliance testing on personal trust, estate, and agency accounts against governing instruments and fiduciary standards.
Support SEC and state regulatory examinations, communications, information requests, and remediation activities.
Research regulations affecting investment advisers, registered funds, trust companies, and wealth management businesses.
Conduct compliance monitoring, surveillance, testing, and risk assessments; document findings and track corrective actions.
Maintain regulatory records, the compliance calendar, and the enterprise compliance management platform.
Prepare or support Form ADV and other federal and state regulatory filings.
Review client disclosures, account documents, trust agreements, investment policy statements, and donor-advised fund proposals.
Update compliance policies and procedures to address regulatory and business developments.
Support compliance training, audits, independent reviews, and reporting to management and governance bodies.
Provide practical compliance guidance and participate in reviews of new products, services, vendors, and operational changes.
Promote a strong culture of compliance through sound judgment, collaboration, and proactive communication.
Qualifications
Bachelor’s degree in business, finance, accounting, law, risk management, or a related field.
Five or more years of relevant compliance, regulatory, audit, risk, securities, investment advisory, registered fund, trust, or financial-services experience.
Experience supporting regulatory examinations and interacting with federal or state regulators.
Knowledge of regulations governing investment advisers, registered investment companies, trust companies, or wealth management organizations.
Experience with compliance testing, risk assessments, regulatory filings, policies and procedures, or issue remediation.
Strong analytical, research, communication, organizational, and documentation skills.
Ability to manage multiple priorities, exercise sound judgment, protect confidential information, and collaborate across the organization.
Proficiency with Microsoft Office and compliance, document-management, or regulatory-filing systems.
Professional certification such as IACCP, CRCP, CRCM, or a comparable designation is preferred but not required.
Numbers & Facts
Location
Omaha, Nebraska
Skills
Accounting Standards and Regulationsunmatched
Analysis Skillsunmatched
Business Practicesunmatched
Communication Skillsunmatched
Corrective Actionunmatched
Documentationunmatched
Federal Laws and Regulationsunmatched
Fiduciaryunmatched
Financeunmatched
Financial Servicesunmatched
Industry Standardsunmatched
Information/Data Security (InfoSec)unmatched
Maintain Complianceunmatched
Microsoft Officeunmatched
Multitaskingunmatched
Organizational Skillsunmatched
Product Reviewsunmatched
Real Estateunmatched
Record Keepingunmatched
Registered Investment Advisor (RIA)unmatched
Regulationsunmatched
Regulatory Complianceunmatched
Regulatory Reportsunmatched
Regulatory Requirementsunmatched
Regulatory Submissionsunmatched
Riskunmatched
Risk Analysisunmatched
Risk Managementunmatched
Securities Investmentsunmatched
Securities and Exchange Commission (SEC)unmatched
State Laws and Regulationsunmatched
Surveillanceunmatched
Testingunmatched
Wealth Managementunmatched
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