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Chief Compliance Officer, CCO

Remote, USA Full-time Posted 2026-06-13

Job Description:

  • Architect of Regulatory Credibility
  • Lead the SEC registration process as a private fund adviser (Form ADV Part 1A, 1B, and Part 2 Adviser Brochure) and manage ongoing compliance.
  • Design and implement written compliance policies covering portfolio management, conflicts of interest, fiduciary duties, custody oversight, and AML/KYC frameworks.
  • Conduct annual compliance reviews and testing; prepare SEC examination responses and handle any regulatory inquiries.
  • Stay current with evolving SEC private fund rules (Reg PF, current enforcement priorities) and translate them into practical Infra One policies.
  • Define staffing, systems, and office infrastructure requirements to meet SEC expectations for "adequate" organizational substance (not formulaic, but credible).
  • Establish procedures for monitoring sub-advised GPs and ensuring they comply with fund mandates and risk limits.
  • Oversee books and records management (6-year retention, email preservation, trade capture, decision logs) and coordinate with IT on cybersecurity compliance.
  • Design and oversee compliance monitoring across Infra One's portfolio of funds (each with its own structure and GP).

Requirements:

  • 7–12 years of compliance experience at a registered investment adviser (RIA), private fund platform, hedge fund, or PE firm.
  • Deep knowledge of the Advisers Act, Reg D, Form ADV, and SEC examination standards for private fund advisers.
  • Hands-on experience with multi-fund governance, sub-adviser monitoring, and conflicts of interest management.
  • Familiarity with custody rules, AML/KYC frameworks, and cybersecurity compliance standards.
  • Prior experience with SEC registration, Form ADV filings, and exam cycles.

Benefits:

  • Salary Range: $200,000–$280,000 base + 20% bonus
  • Equity: TBD (0.1%–0.3% depending on background)

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