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Regulatory Administrator

Job in Dudley, Worcester County, Massachusetts, 01571, USA
Listing for: Nichols College
Full Time position
Listed on 2026-03-06
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Financial Services
Job Description & How to Apply Below

and the job listing Expires on April 3, 2026

Full-Time Job International Business, International Business

Chenery Compliance Group (CCG) is seeking a Regulatory Administrator to join a growing team of client-focused, driven, highly motivated compliance professionals. CCG is an independent institutional-quality boutique that provides regulatory compliance outsource solutions and Chief Compliance Officer services for institutional and wealth investment managers, private fund managers, and registered funds.

Areas of Responsibility
  • As a member of the Shared Services Team, this role is responsible for the administration of the Code of Ethics program for registered investment advisers via My Compliance Office  (MCO).
  • Establish and monitor electronic brokerage feeds into MCO by coordinating with brokerages, client employees, and the engagement team.
  • Monitor personal trading activity for trading violations pursuant to the Code of Ethics for each client.
  • Escalate any possible breaches of compliance within client policies to the engagement team.
  • Diagnose and resolve any issues other team members and/or clients have related to the capture of personal trading activity.
  • Distribute and monitor annual and quarterly questionnaires, and pre-clearance forms such as outside business activities, gifts & entertainment, and political contributions.
  • Serve as a key resource in onboarding clients and the management of the MCO system.
  • As a quickly growing firm, your opportunities for advancement and growth will be frequent.
Required Skills & Experience

The ideal candidate will possess the following experiences and attributes:

  • 0–3 years of related experience in financial compliance or other regulatory services, preferred.
  • Ability to work independently across multiple clients and tasks simultaneously.
  • Prior experience using Code of Ethics software solutions (Orion-Basis Code and/or My Compliance Office , etc.) preferred.
  • Ability to promptly escalation breaches in policies/compliance to superiors.
  • Prior experience or strong knowledge in brokerage account statements and transactions review.
  • Excellent time management and organization.
  • Ability to work well in a fast-paced, small-team environment.
  • Ability to work independently, multi-task, and prioritize effectively.
  • Strong oral and written communication skills.
  • Highly motivated and goal-oriented; volunteers for and shows initiative on tasks and projects.
  • Familiarity with the investment management industry and the Investment Advisers Act of 1940, preferred.
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