At Confluence, we’ve always been driven by a commitment to innovation, precision, and partnership in the investment data space. Our global footprint now spans multiple countries, giving our employees the opportunity to get exposure to other countries and cultures. And it stands to reason that none of this would have been possible without the hundreds of hard-working employees who work at Confluence.
More about the role & team
🚀 About the Role
🔍 What You’ll Do
✅ Advise clients on compliance with the Investment Advisers Act, Investment Company Act, and Securities Exchange Act
✅ Lead annual reviews, risk assessments, and regulatory filings
✅ Support and manage clients through SEC exams and regulatory inquiries
✅ Build trusted relationships with C‑suite and senior stakeholders
✅ Oversee and mentor junior team members
✅ Contribute to the evolution and growth of the compliance practice
What skills and experience do I need to succeed?
🧠 What We’re Looking For
✅ Must‑Have Experience
✔️ Strong working knowledge of:
- Investment Advisers Act of 1940 (essential)
- Securities Exchange Act of 1934
- Investment Company Act of 1940
✔️ Proven ability to advise C‑suite and senior leadership
✔️ Hands‑on experience with private equity, private credit, hedge funds, and/or retail wealth managers.
⭐ Nice‑to‑Have (But Not Required)
- Law degree or postgraduate compliance/legal education
- Professional certifications (IACCP, CAMS/ACAMS, CRCP, CFE)
- FINRA licenses (e.g., Series 24)
- Experience with IARD, CRD, PFRD, EDGAR, and compliance software
- Exposure to CFTC/NFA regulations
- Experience mentoring or leading junior professionals
Travel
What do we offer?
As part of our recruitment process, we carry out identity checks on all candidates. Offers of employment are conditional upon the completion of satisfactory background checks prior to the commencement of work. These checks may include verification of identity, right to work in the UK, employment history, and other relevant pre-employment screening.
