DIRECTOR, COMPLIANCE
Company: Cresset Capital
Location: Chicago
Posted on: June 2, 2025
Job Description:
Job DetailsLevel: SeniorJob Location: Chicago Office - Chicago,
ILPosition Type: Full TimeEducation Level: 4 Year DegreeSalary
Range: UndisclosedDescriptionAbout Cressetis a firm built by
clients, for clients. As an independent, award-winning multi-family
office and private investment firm, we are reimagining the way
wealth is experienced. Our purpose is to help ensure that both
wealth and life are fully optimized-integrated, intentional, and
aligned with each client's vision of success.We provide access to
the caliber of talent, ideas, and investment opportunities
typically available to the largest single-family offices and
institutions. Our approach is personalized, entrepreneurial, and
client-first.Proudly owned by our clients and employees, Cresset
was built to endure. We are creating a 100+ year firm-one focused
on delivering an exceptional experience, not only for the families
we serve but for the team that serves them. Recognized by Barron's
and Forbes among the nation's top RIA firms, and as one of the
industry's best places to work,Cresset is guided by long-term
relationships, shared success, and a belief that wealth should
serve a life well lived.Job DescriptionThe Compliance Director will
help support the ongoing efforts of the Compliance Department by
ensuring our firm remains compliant with all applicable regulatory
requirements, including SEC regulations and relevant laws governing
private funds. This is a great opportunity for a person with
experience at a private fund RIA. The Candidate should be a
proactive, resourceful, self-starter with a roll-up-your-sleeves
mentality, who is extremely organized, detail-oriented, and
precise, while remaining flexible to changing priorities.Key
Responsibilities
- Monitor and ensure adherence to regulatory and compliance
requirements for private funds managed by the firm.
- Develop and maintain compliance policies and procedures related
to private fund operations, including reviewing offering documents,
fund investments, and marketing materials.
- Assist with timely and accurate filing of regulatory reports
(e.g., Form ADV, Form PF, and other required filings).
- Coordinate with fund administrators, fund accounting team, and
auditors as necessary.
- Provide guidance and training to internal teams regarding
compliance best practices and regulatory changes related to private
funds.
- Liaise with internal business units and manage the review of
private fund activities and disclosures and facilitate any
necessary remediation
- Review investor agreements, fund documents, and side letters to
ensure compliance with applicable policies and regulations.
- Conduct periodic compliance assessments and follow up on
corrective actions.
- Stay up-to-date on evolving regulatory requirements affecting
private funds, including changes in SEC rules, Dodd-Frank Act
provisions, and other applicable laws.
Qualifications Beneficial to the Responsibilities of the Position
- College graduate
- Proficiency in SEC regulations, including the Advisors
Act.
- 7+ years experience with an RIA or regulatory organization
- Experience with a registered investment advisor in a compliance
role.
- Exceptional organization and planning skills with ability to
multi-task
- Team player
- Attention to detail and follow-through
- Versatile, flexible, and a willingness to work with changing
priorities
- Strong communication, written, verbal and listening skills
- Proficiency with Microsoft Office Suite (Word, Excel, and
PowerPoint, and Outlook)
- Familiar with Artificial Intelligence toolsWhat We OfferAt
Cresset, we focus on people first. As a service business, our
people are our assets. Engaging our clients and employees is our
highest priority. Starting base salary range: $130,000- $165,000.
Salary will be based on factors including, but not limited to,
experience, licenses/certifications, industry knowledge, and
geographic location. Cresset offers a competitive compensation
package including an annual incentive and a benefits package to all
full-time employees including medical, dental, vision, life
insurance, 401(k) retirement plan, health savings accounts, short
and long-term disability insurance, voluntary critical and accident
insurance, and pre-tax parking and transportation programs.
Aligning employee and organizational interests, all employees
receive equity in Cresset.Equal Employment OpportunityIt is the
policy of Cresset to ensure equal employment opportunity (EEO) for
all employees and applicants for employment without regard to race,
color, religion, sex, pregnancy (including childbirth, lactation,
or related conditions), national origin or ancestry, age,
disability, veteran status, uniformed servicemember status, sexual
orientation, gender identity, status as a parent, genetic
information (including testing and characteristics), or any other
characteristic protected by applicable federal, state, or local
law. It is Cresset's policy to comply with applicable laws
concerning the employment of persons with disabilities, including
reasonable accommodation for applicants and employees with
disabilities.*Disclosures related to awards, recognitions, and
rankings available.Cresset refers to Cresset Capital Management,
Peakline Parent, LLC, and all of their respective subsidiaries and
affiliates. Cresset Asset Management, LLC, also conducting advisory
business under the names of Cresset Sports & Entertainment and CH
Investment Partners, provides investment advisory, family office,
and other services to individuals, families, and institutional
clients. Peakline Partners, LLC, provides investment advisory
services strictly to investment vehicles investing in private
equity, real estate, and other investment opportunities. Cresset
Asset Management, LLC, and Peakline Partners, LLC, are SEC
registered investment advisors.
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Keywords: Cresset Capital, Glenview , DIRECTOR, COMPLIANCE, Executive , Chicago, Illinois
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