Compliance Analyst

Posted 2026-05-06
Remote, USA Full-time Immediate Start

SCS Financial is a fiduciary wealth and investment management firm serving ultra-high-net-worth individuals, families, and institutions. They are seeking a Compliance Analyst to support the Chief Compliance Officer and implement the firm’s compliance program, providing diversified experience across various functional areas and interacting with a range of stakeholders.


Responsibilities

  • Compliance testing and internal audit projects
  • Implementation of the firm’s code of ethics
  • Preparation of regulatory filings
  • Prioritize tasks and consistently meet deadlines in multiple functional areas
  • Working with and understanding large data sets

Skills

  • 1+ years of relevant investment advisor or investment fund manager operations, legal, or compliance experience
  • Minimum of a bachelor's degree in finance, economics, or other related discipline
  • Familiarity with investment adviser compliance requirements under the Investment Advisers Act of 1940 a plus
  • Interest in, and familiarity with, basic wealth management business and investment concepts
  • Excellent organizational, prioritization, and time management skills
  • Analytical mindset with a strong attention to detail
  • High energy and highly self-motivated with the ability to thrive in an entrepreneurial environment
  • Strong written and oral communication skills
  • Proficiency in Microsoft Excel, Word, Co-Pilot (or similar LLM), and Outlook applications

Benefits

  • Annual cash bonus
  • Medical
  • Dental
  • Vision
  • Life
  • 401(k)

Company Overview

  • SCS Financial is an investment and wealth management firm based in Boston. It is a sub-organization of Focus Financial Partners. It was founded in 2002, and is headquartered in Boston, Massachusetts, USA, with a workforce of 51-200 employees. Its website is http://scsfinancial.com.

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