Head of Compliance
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United States
Cache builds modern, tax-smart solutions for investors with concentrated stock positions. Our flagship Exchange Fund combines technological precision with thoughtful, human guidance to make tax-deferred diversification more accessible.
We are lean, profitable, and growing, with a culture built around ownership, sound judgment, and high standards.
The RoleCache is hiring a Head of Compliance to lead the compliance function across two affiliated regulated entities: Cache Securities, LLC, a FINRA-registered broker-dealer, and Cache Advisors, an SEC-registered investment adviser.
This senior leadership role has broad ownership of the regulatory and operational compliance programs supporting Cache’s Exchange Funds and other concentrated-stock solutions. You will serve as the firm’s senior point of contact on compliance matters, provide independent regulatory judgment, and help the business grow within a strong, scalable control environment.
We are looking for an experienced compliance leader who understands how broker-dealer, investment adviser, and private-fund requirements intersect. The right candidate combines technical depth with practical judgment and can bring clarity to new products, technologies, and business models.
Location: United States, remote-friendly
What You’ll DoLead the compliance program- Direct the compliance programs for Cache Securities and Cache Advisors, including policies, compliance manuals, written supervisory procedures, risk assessments, testing, surveillance, and remediation.
- Oversee required reviews, testing, reports, and certifications under FINRA Rules 3120 and 3130 and Investment Advisers Act Rule 206(4)-7.
- Serve as the firm’s senior compliance representative with the SEC, FINRA, state regulators, auditors, the board, counterparties, and other stakeholders.
- Lead regulatory examinations and audits, including responses, document production, findings, and remediation.
- Maintain strong documentation standards across testing, investigations, decisions, exceptions, and regulatory communications.
- Oversee regulatory registrations, filings, and reporting, including Web CRD administration, Form ADV, Form PF, Forms 13F and 13H, and Schedules 13D and 13G, as applicable.
- Direct the firm’s anti-money laundering program, including AML/KYC processes, watchlist screening, employee training, certifications, regulatory filings, and Section 314(b) participation where applicable.
- Maintain effective Code of Ethics, employee certification, personal-trading, books-and-records, and regulatory-documentation processes.
- Oversee applicable federal and state securities requirements, including Regulation D, Rule 506, notice filings, and broker-dealer and investment adviser registrations.
- Provide independent regulatory analysis for new products, fund structures, custodial integrations, operational changes, and business initiatives.
- Review marketing, correspondence, electronic communications, and other public-facing materials under applicable SEC and FINRA requirements.
- Translate regulatory requirements into clear, practical guidance for business, legal, operations, risk, product, and engineering teams.
- Identify emerging regulatory developments and advise leadership on their implications for Cache’s products and operations.
- Define and advance a scalable compliance operating model as the company grows.
- Partner with Engineering and Operations to strengthen controls and streamline manual processes through thoughtful automation.
- Guide the responsible use of AI and other emerging technologies within the compliance function.
- Build structure where needed while preserving the independence, rigor, and credibility of the compliance program.
- 10+ years of progressively senior compliance experience within a broker-dealer, registered investment adviser, private-fund organization, alternative-investment firm, or regulated fintech.
- Deep knowledge of broker-dealer or investment adviser regulation, with working fluency across both regimes. Experience overseeing both is strongly preferred.
- Experience with private funds, including Regulation D, Rule 506, state notice filings, and private-fund adviser obligations.
- Demonstrated ownership of compliance testing programs, including workpapers, findings, escalation, and remediation tracking.
- Strong understanding of investor onboarding and subscription processes, including AML/KYC requirements and investor documentation.
- Significant experience reviewing marketing and communications for regulatory compliance.
- Working knowledge of privacy, cybersecurity, identity-theft prevention, and information-security requirements, including Regulation S-P and Regulation S-ID.
- Experience with sophisticated products and investors, including complex trusts and corporate accounts.
- A record of building or scaling compliance functions in fast-moving environments.
- Sound, independent judgment and the ability to balance regulatory obligations with practical business considerations.
- Clear, credible communication with regulators, senior leaders, boards, employees, and external partners.
- Exceptional attention to detail and documentation discipline.
- Comfort operating through ambiguity and creating structure for new products and evolving processes.
- J.D. strongly preferred.
- Relevant professional certification, such as IACCP, CAMS, CRCM, CCEP, or a comparable credential.
- Experience with Exchange Funds or other concentrated-stock solutions.
- Familiarity with compliance and marketing-review platforms such as Hadrius, COMPLY, or Red Oak.
- Experience with SOC examinations, third-party risk management, and vendor oversight.
- Experience navigating multistate broker-dealer and investment adviser registration requirements.
Appropriate FINRA qualifications for the role, such as the Series 14 or the Series 7 and Series 24, are preferred. Candidates who are not currently registered must be willing and able to obtain the required qualifications within the applicable regulatory timeframe.
This job is no longer accepting applications
See open jobs at Cache.See open jobs similar to "Head of Compliance" Quiet.