Marathon Asset Management · 1 month ago
Compliance Professional
Marathon Asset Management is a leading global asset manager specializing in public and private credit, seeking a compliance professional to support their global credit investment platform. This role involves managing and executing the compliance program, overseeing compliance for registered investment advisers, and collaborating with various teams on compliance matters.
Emerging MarketsFinanceReal Estate
Responsibilities
Partner with the compliance team to enhance, implement, and oversee Marathon’s comprehensive compliance program
Oversee aspects of compliance oversight for the firm’s three registered investment advisers
Assist with the preparations of regulatory filings (Form ADV, Form D, 13G/F, etc.)
Conduct periodic compliance reviews, testing, and ongoing surveillance activities; synthesize findings into actionable reports
Review and approve marketing materials, DDQs, investor communications, and other public-facing content
Oversee the monitoring of Code of Ethics processes, including personal trading, gifts and entertainment, outside business activities, and political contributions
Support insider trading compliance, including oversight of MNPI controls, restricted and watch lists, and employee training
Assist with the review and monitoring of electronic communications
Perform AML/KYC verifications and monitor counterparty relationships across multiple jurisdictions
Collaborate with legal, technology, portfolio management, operations, risk, accounting, and investor relations teams to advise on compliance matters
Stay current with regulatory developments from the SEC, CFTC/NFA, FCA, and AIFMD, and help update firm policies and procedures as needed
Assist the CCO in preparing documentation and responses for regulatory examinations
Assist with the annual review of the compliance program under Rule 206(4)-7
Assist in developing and administering employee compliance training and certifications
Qualification
Required
Bachelor's degree required
8-12 years of compliance experience at a registered investment adviser, asset manager, or other investment industry firm
Strong working knowledge of the Investment Advisers Act of 1940, Investment Company Act of 1940, and applicable SEC, and CFTC/NFA regulations; experience with MiFID II or AIFMD is a plus
Demonstrated success assisting the implementation and monitoring compliance programs
Strong project management skills and the ability to work independently while appropriately escalating issues
Excellent communication and interpersonal skills, with the ability to advise and influence senior business leaders
Experience managing regulatory examinations or inquiries
Strong proficiency with compliance systems, regulatory portals, the Microsoft Office Suite, and other common business technology platforms
Preferred
Experience with MiFID II or AIFMD is a plus
Familiarity with credit-oriented investment strategies is a plus
Benefits
Medical/Pharmacy
Dental
Vision
HSA/FSA
STD/LTD
Life Insurance
Generous PTO
Commuter benefits
Company-provided lunches
Company
Marathon Asset Management
Marathon Asset Management LP is a global alternative investment and asset management company with approximately $11 billion in capital
Funding
Current Stage
Growth StageTotal Funding
unknown2016-06-22Private Equity
Leadership Team
Recent News
2025-12-15
GlobeNewswire
2025-12-05
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