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ALTRUIST — Los Angeles
About Altruist Altruist is transforming the multi-trillion dollar wealth management industry by building an AI platform for wealth professionals. We partner with financial advisors nationwide, empowering them to grow, optimize time and resources, and deliver superior outcomes for their clients. We're looking for exceptional talent to help us achieve our mission of making financial advice better, more affordable, and accessible to all.
If you're passionate about challenging the status quo and want to do the most important work of your life, we'd love to meet you! But first, our values Kindness - Kindness doesn’t just equal niceness. We listen to understand.
We embrace, and encourage healthy debate and diverse perspectives. We approach conflict openly, honestly, and respectfully. Brilliance - Humility is the skill we’re most proud of and possessing a growth mindset is always top of mind.
We take ownership in everything we touch; regularly using our unique superpowers to reach a common goal as a team. We succeed and fail as one. Grit - When challenges arise, we stay laser focused on achieving our mission and finding a way forward, even when it’s hard.
We are nimble and maintain a sense of urgency, swiftly adapting to change and overcoming obstacles. The opportunity We're hiring a Compliance Officer to serve as the functional compliance lead for Altruist Advisors , Altruist's new SEC-registered investment adviser. You'll be the primary point of contact and subject-matter expert for the RIA, owning the Investment Adviser Representative (IAR) relationship end-to-end and helping build and scale the RIA's compliance program from the ground up.
You'll partner directly with the Head of Compliance and with Product as we launch and grow our new corporate RIA offering. This is a senior individual-contributor role. You'll own substantive compliance work across the RIA's program — with support — while operating with the judgment and independence to shape how the program is built.
You'll also serve as a trusted partner to teams across Product, Engineering, Operations, and Marketing. *This is a hybrid role requiring three days per week in the office. Your impact Primary POC and SME — Act as the lead compliance point of contact and subject-matter expert for Altruist Advisors, our new SEC-registered investment adviser.
IAR lifecycle — Own the IAR relationship from a compliance perspective, from onboarding through offboarding, including oversight of ongoing IAR activity. Program build-out — Assist in the build-out and scaling of the RIA's compliance program, including the development and management of policies and procedures. Form ADV — Own the preparation, maintenance, and timely filing of Form ADV (Parts 1, 2A, and 2B), including annual updating amendments and other-than-annual amendments as material changes arise.
Product partnership — Partner closely with Altruist's Product team to provide compliance input and guidance on the new corporate RIA offering. Marketing review — Review and approve IAR marketing materials and communications under the SEC Marketing Rule. Vendor management — Own vendor relationships supporting the RIA's compliance program.
Ongoing oversight — Conduct ongoing oversight and monitoring of IAR activity, escalating issues and driving remediation. Cross-entity support — Provide general compliance support to Altruist's other regulated entities, including the broker-dealer, as required. What you bring Experience — 5+ years of hands-on investment adviser compliance experience, with demonstrated ability to execute across the full range of a compliance program.
Broker-dealer compliance experience preferred. Speed and adaptability — Prior experience in a fintech or high-growth financial services environment, or a comparable track record that demonstrates the ability to move quickly and operate with ambiguity as programs are built.