SUMMARY
Rialto Capital Management, LLC (“Rialto”) is a leading real estate investment, finance and asset management firm with 300+ professionals in Miami. NY and other offices across the U.S. Key businesses include investment management, loan origination, asset management and special servicing. The firm has over $6 billion of assets under management and nearly $3 billion of equity. The successful candidate will be an integral part of Rialto’s Compliance team, working directly with the Chief Compliance Officer to address a range of compliance issues associated with private funds, hedge funds, and other clients managed by Rialto Capital Management, LLC.
KEY RESPONSIBILITIES
- Develop internal policies and procedures and current regulatory guidance with respect to marketing and other related compliance matters, and assist maintaining broader L&C policies and procedures.
- Develop educational materials and trainings for business professionals.
- Assess current and prospective regulatory risk through industry interaction and research.
- Review marketing materials, due diligence responses, investor communications, and other fundraising and reporting-related materials (e.g. quarterly letters, recordings, memoranda, etc.) across various investment strategies from a legal, regulatory, and compliance perspective;
- Supervising a variety of regulatory filings with the SEC, CFTC / NFA, and other international regulatory bodies, in collaboration with Rialto’s operations and finance teams.
- Assisting in management of all aspects of trade restrictions including analyzing potential MNPI, clearing trades, and maintaining the restricted list on an ongoing basis.
- Work with team in responding to requests from regulators, preparing for regulatory examinations, and conducting mock examinations in conjunction with external consultants and counsel.
- Supporting the implementation and maintenance of the firms’ compliance programs.
- Engaging in meaningful interactions with Rialto’s investment and operational professionals on a wide range of business matters.
SPECIFICATIONS
- 8+ experience in a compliance role within a hedge fund, private equity fund, compliance consultancy, financial services firm, or as a practicing funds lawyer, with in-depth knowledge of the Investment Advisers Act of 1940.
- Bachelor’s degree from an accredited institution is required.
- Demonstrated experience with the development, implementation, and oversight of compliance policies and procedures.
- Strong attention to detail and analytical skills.
- Strong analytical skills with the ability to interpret complex regulatory requirements and provide practical, business-oriented advice.
- Strong project management and organizational skills with ability to manage multiple and sometimes conflicting demands.
- Highly effective oral and written communication skills and ability to communicate confidently and effectively.
- Ability to work independently while remaining a strong team player who works collaboratively and builds strong working relationships.
- Proactive management skills and the ability to manage projects independently and to conclusion; and
- Substantial initiative, creativity and drive and the ability to implement a measured approach under competing demands and with confidence.