Analyst, Compliance

Company: Energy Impact Partners
Job type: Full-time

Energy Impact Partners LP (EIP) is a global investment firm leading the transition to a sustainable future. EIP brings together entrepreneurs and some of the world's most forward-looking energy and industrial companies to advance innovation. With over $4 billion in assets under management, EIP invests globally across venture, growth and credit – and has a team of over 80 professionals based in its offices in New York, San Francisco, Washington D.C., Atlanta, Palm Beach, London, Cologne, Oslo and Singapore.
EIP seeking to hire a Compliance Analyst who will work closely with the firm’s Compliance Officer to support the firm’s compliance program. This role is a great opportunity for a motivated compliance professional to learn more about private funds and investment adviser compliance. The individual filling this role will report directly to the Compliance Officer. This role will be based in New York City and provides flexibility to work from home.
Key areas of responsibility:
Support the Compliance Officer with day-to-day activities and monitoring of the firm’s compliance program
Administer and maintain the firm’s Code of Ethics (e.g., personal trading, political contributions, outside business activities, compliance certifications, etc.)
Review and assess for any potential conflicts or violations of firm’s Code of Ethics on an ongoing basis
Assist with updating the firm's compliance manual and regulatory filings (e.g., Form ADV, Form PF, etc.)
Own the administration and maintenance of the firm’s restricted list
Facilitate conducting various compliance testing and provide oversight
Management of the firm’s compliance reporting software
Present and support new hire compliance onboarding tasks and training
Support the Compliance Team with the firm's annual compliance review and/or mock SEC exams
Maintenance and organization of the firm’s compliance books and records (e.g., compliance logs, compliance calendar, side letter matrix, etc.)
Aid the Compliance officer with review of the firm’s marketing materials
Liaising with various groups within the firm and applicable external service providers
Assist with monitoring regulatory developments and providing ad hoc compliance and legal operations support as needed
Requirements
1-3 years of compliance experience at a registered investment adviser or compliance consultancy firm
Knowledge of the Investment Advisers Act of 1940 and associated rules thereunder with an emphasis on Rule 204A-1
Extreme attention to detail, self-motivated, proactive, strong organizational skills, and willingness to learn
Strong prioritization and project management skills, both independently and in a team
Intellectual curiosity and humility
Bachelor’s degree
Ability to maintain high level of discretion and confidentiality
Strong written and oral communication and interpersonal skills
Critical thinking skills
High EQ & IQ
Strong Microsoft Office, Excel, and PPT skills
Benefits
Base compensation for this role is $80,000-$100,000 base, with discretionary bonuses available. This role is based out of our New York, NY office and is considered an in office opportunity with some hybrid flexibility.

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