Massar capital

Compliance Analyst

Vienna Full Time

FIRM OVERVIEW

Massar Capital Management, LP (“Massar”) is an alternative investment management company founded in 2015. We employ a global macro trading strategy that seeks to capture investment opportunities across commodity, foreign exchange, fixed income, equity, and derivatives markets. With offices in the United States and Europe, Massar prides itself on its dynamic, entrepreneurial culture. Our investment philosophy combines fundamental understanding of individual assets with a quantitative, data-driven process. We build proprietary technology and develop statistical methods to leverage both public and in-house data sets. Our team members possess strong technical skills, a passion for problem-solving, and an intellectual curiosity about financial markets.

 

About the Role

We are seeking a motivated and detail-oriented individual to join our Compliance team and
contribute to our growth. This is an exciting opportunity to join a fast-growing hedge fund with
a highly collaborative culture. This individual will work directly with the General Counsel to
develop and implement compliance policies and procedures.
This position will be based in either our NYC or Stamford, CT offices and is in office Monday
through Friday.

Primary Responsibilities

  • Assist the General Counsel with the development, implementation and maintenance of
    global legal and compliance policies and procedures
  • Manage compliance task deadlines
  • Administer the firm’s Code of Ethics (gift/entertainment requests, conflict disclosures,
    political contributions, etc.), track certifications and maintain compliance logs
  • Assist with employee and firm trade surveillance
  • Review marketing materials
    Track investor subscriptions and redemptions
  • Manage the counterparty and vendor diligence process
  • Coordinate with various departments on regulatory filings (SEC, CFTC/NFA, etc.)
  • Assist with NFA Self-Exam and SEC Annual Review

Qualifications

  • Bachelor’s degree
  • 1-3 years of compliance experience at an SEC registered investment adviser
  • General knowledge of CFTC and SEC regulatory framework
  • Outstanding attention to detail
  • Team player
  • Ability to work in a fast-paced, dynamic environment