Compliance Manager
Automate your job search with Sonara.
Submit 10x as many applications with less effort than one manual application.1
Reclaim your time by letting our AI handle the grunt work of job searching.
We continuously scan millions of openings to find your top matches.

Job Description
Job Description Summary
For over forty years, HarbourVest has been home to a committed team of professionals with an entrepreneurial spirit and a desire to deliver impactful solutions to our clients and investing partners. As our global firm grows, we continue to add individuals who seek a collaborative, open-door culture that values diversity and innovative thinking.
In our collegial environment that's marked by low turnover and high energy, you'll be inspired to grow and thrive. Here, you will be encouraged to build on your strengths and acquire new skills and experiences.
We are committed to fostering an environment of inclusion that promotes mutual respect among all employees. Understanding and valuing these differences optimizes the potential of both the individual and the firm.
HarbourVest is an equal opportunity employer.
This position will be a hybrid work arrangement, which translates to 2-3 days minimum per week in the office.
Reporting to the Head of Monitoring, Testing and Controls, the Compliance Manager will assist with HarbourVest's global Compliance program, with particular emphasis on supporting HarbourVest's Core Compliance team.
The ideal candidate is someone who is:
- Pro-active, upbeat, self-assured professional with high personal integrity and ability to develop good interpersonal relationships with others
- Familiar with the business and administrative services provided by investment advisers and compliance support for such services
- Collaborative and supportive team member
- Ability to work both independently and as part of a team with a focus on execution
- Passion for the mission of the company and for its diverse and inclusive culture
What you will do:
- Support Compliance testing program by identifying risk-based review objectives, scope and testing strategies to assess adequacy and effectiveness of compliance program policies and controls
- Proactively document and evaluate controls maintained by the Firm and identify enhancement opportunities
- Conduct surveillance activities, including coordination with external service providers
- Assist in drafting and reviewing Compliance responses to due diligence, RFP, and client service requests
- Coordinate the compilation of Compliance quarterly and annual metrics
- Lead the drafting of the annual 206(4)-7 and 38a-1 Compliance Reports
- Assist in the development, deployment and updating of Compliance policies and procedures
- Oversee the global Compliance training program calendar, assist with the development of targeted training content and the delivery of training to employees, including support of automated training tools
- And other responsibilities as required
What you bring:
- Broad understanding of securities laws, rules and regulations applicable to registered investment advisers, private fund offerings and registered investment companies, including the Investment Advisers Act of 1940, the Investment Company Act of 1940, the Securities Act of 1933, Regulation D, the SEC Marketing Rule and the FINRA Communication Rules
- Experience performing risk assessments, surveillance, and controls testing
- Excellent communication (both oral and written) and escalation skills.
- Superior analytical and organizational skills, and attention to detail
- Self-motivated, with strong organizational and time management skills
- Proven ability to manage multiple and often competing priorities, adept at problem solving, identifying creative solutions, driving to decisions, and delivering results consistently
- Considerable personal experience communicating, interacting, and establishing effective relationships with professionals, including executive management, sometimes in difficult situations
Education Preferred
- Bachelor of Arts (B.A) or equivalent experience, preferably with a concentration in law, business, finance or accounting
- Master's degree in a related field or law degree a plus
Experience
- 5-8 years of experience in compliance or audit roles within financial services, preferably in an investment adviser organization
- Minimum 4 years of controls testing experience or similar
#LI-Hybrid
Automate your job search with Sonara.
Submit 10x as many applications with less effort than one manual application.
