# Associate, Compliance

**Company:** [Polymer Capital USA](http://jobs.workable.com/companies/k2d2LsaHHf7ZGuJtozYmmy.md)
**Location:** New York, United States
**Workplace:** on site
**Employment type:** Full-time
**Department:** Compliance

[Apply for this job](http://jobs.workable.com/view/68d1a634-3804-4b5a-99ca-d25e1a39ba81)

## Description

**Company Introduction**

Polymer Capital Management is a market-neutral, multi-manager investment platform based in Asia and US, with a primary focus in Asia markets. Polymer combines established institutional support and deep knowledge of local financial markets with a dedication to discovering and developing the region's best investment talent. Polymer was established in conjunction with PAG, one of the world's largest Asia-focused alternative asset managers, in 2019.

**Job Brief**

We are seeking a highly motivated and detail-oriented **Compliance Associate** to join our growing compliance team within a multi‑manager hedge fund platform.  The role is hands-on and suited to someone who can work independently in a fast-paced investment management environment and includes monitoring, regulatory support, training, and advisory responsibilities.

**Regulatory Compliance & Monitoring**

-   Assist in the implementation and ongoing enhancement of the firm’s compliance program in accordance with **SEC, CFTC, and NFA regulations**
-   Conduct **daily, monthly, and ad hoc surveillance and monitoring**, including:

-   Trade surveillance (e.g., market abuse, front-running, insider trading)
-   E-communications surveillance
-   Personal account dealing (PAD) reviews
-   Restricted list monitoring and watch list maintenance

-   Support **Form ADV updates**, regulatory filings, and other periodic reporting requirements

**Regulation M & Market Conduct Compliance**

-   Support compliance with **SEC Regulation M**, including:

-   Monitoring for restricted activities during **distribution periods**
-   Maintaining and updating **Reg M restricted lists**

-   Coordinate with trading, capital markets, and legal teams on **deal-related restrictions and wall-crossing procedures**

**Multi‑Manager Platform Oversight**

-   Work with portfolio managers and trading teams across multiple strategies to ensure compliance with risk limits and internal controls:
-   Perform **pre- and post-trade compliance checks** and work with CCO to follow up with portfolio managers and trading teams
-   Assist in manager onboarding and ongoing due diligence processes

**Policies, Procedures & Controls**

-   Maintain and update compliance policies and procedures, including the compliance manual and code of ethics
-   Assist in rolling out compliance training programs and firm-wide communications
-   Participate in reviews and testing of internal controls and compliance frameworks

**Regulatory Filings & Documentation**

-   Support preparation and submission of regulatory filings (e.g., **Form PF, Form ADV, Form D, 13F, 13H, PQR,** as applicable)
-   Assist in responding to regulatory inquiries, audits, and examinations

**Incident Management & Investigations**

-   Assist in the logging, investigation, and escalation of compliance incidents, breaches, or exceptions
-   Perform root cause analysis and track remediation actions

## Requirements

**Qualifications & Experience**

-   Bachelor’s degree in Finance, Economics, Law, or a related field
-   **5-7 years of relevant compliance experience**, preferably within:

-   Hedge funds, asset management firms, or multi‑manager platforms
-   Exposure to quantitative or systematic trading strategies is a plus

-   Strong knowledge of **U.S. regulatory framework** (SEC Investment Advisers Act)
-   Familiarity with **multiple asset classes** (equities, derivatives, fixed income, FX)

**Skills & Competencies**

-   High attention to detail and strong analytical skills
-   Strong communication and interpersonal skills with the ability to engage front office stakeholders
-   Proficiency in Microsoft Office; experience with compliance or trading systems is a plus
-   Proactive mindset with a strong sense of ownership and accountability

## Benefits

Why join us?

-   Prime Location: You'll work full time from our centrally located office space in Midtown, NY
-   High-Growth: We have a team of highly ambitious professionals with a strong desire to learn and develop their skills.
-   Equal opportunity employer: We celebrate diversity and are committed to creating an inclusive environment for all employees.
-   Global exposure: With six offices and three affiliate offices around the region, Polymer teams work together to solve meaningful problems on a scale.
-   Dynamic and Collaborative Environment: Opportunity to work with industry leaders and experts to engage in exciting projects and fulfilling challenges.

Polymer Capital Management (US), LLC is an Equal Opportunity Employer. We value diversity and are committed to creating an inclusive environment for all employees. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, national origin, disability, age, or veteran status.

Some of our Benefits

·         Paid Annual Leave

·         Medical Group Insurance

·         Gym reimbursement

·         DEI and Philanthropy Initiatives

·         Professional Learning & Development Opportunities
