Chief Compliance Officer (Fully-Remote)

 Posted a day ago
     
10+ years experience
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AI Summary

The Chief Compliance Officer will build and lead the global compliance function from the ground up, focusing on US securities regulations and investor onboarding. They will establish enterprise-wide governance, risk management frameworks, and report directly to the CEO and Board.

ABOUT THE OPPORTUNITY

We are conducting a confidential executive search on behalf of a fast-growing, global organization preparing for a significant capital raise and international expansion. The company operates at the intersection of high-value transactions, premium service delivery, and sophisticated technology — serving an exclusive, privacy-sensitive clientele across multiple continents.

This is a foundational leadership hire. The incoming Chief Compliance Officer will build and own the compliance function from the ground up, partnering directly with the CEO and Board to establish enterprise-wide governance, regulatory adherence, and risk management frameworks that can scale with the business.


WHY THIS ROLE

This is a rare opportunity to serve as the first CCO at a high-trajectory organization — with direct board access, genuine strategic influence, and the mandate to build something lasting. The right candidate will thrive in a fast-moving, entrepreneurial environment where compliance is viewed as a competitive advantage, not a checkbox.


KEY RESPONSIBILITIES

Regulatory Compliance & Securities Law

  • Design and lead the organization's global compliance program, with particular emphasis on US securities regulations, private placement frameworks (Reg D / Reg S), and investor onboarding requirements

  • Ensure all capital raise activity and investor relations meet SEC, FINRA, and applicable state regulatory standards

  • Advise on broker-dealer regulatory requirements and manage relationships with external legal counsel and regulatory bodies

  • Monitor evolving regulatory landscapes across all operating jurisdictions and translate requirements into actionable business directives

AML / KYC Oversight

  • Develop and enforce robust AML and KYC frameworks governing investor and client onboarding for high-value transactions

  • Oversee CDD, EDD, transaction monitoring, OFAC screening, and BSA reporting obligations

  • Ensure compliance with FinCEN requirements, including real estate AML rules applicable to high-value cross-border transactions

Data Privacy & Security Governance

  • Design and enforce world-class data privacy protocols for a high-net-worth, privacy-sensitive client base

  • Ensure full compliance with GDPR, CCPA, and emerging global privacy standards

  • Partner with technology leadership to embed privacy-by-design principles across all platforms and data systems

Risk Management & Internal Audit

  • Establish an internal audit function providing the CEO and Board with transparent reporting on operational health and regulatory adherence

  • Conduct regular enterprise risk assessments across all business units and geographies

  • Build and maintain a third-party risk management program covering vendors, partners, and intermediaries

Ethics, Governance & Training

  • Develop a corporate Code of Conduct and global ethics program reflective of the organization's standards and values

  • Oversee FCPA / ABAC compliance and anti-bribery training across the global team

  • Report directly to the CEO and Board on all compliance matters; serve as the senior compliance voice in executive and board settings


IDEAL CANDIDATE PROFILE

Experience

  • 10+ years of compliance or legal leadership experience, with a strong foundation in US securities law and financial services regulation

  • Direct experience with broker-dealer compliance frameworks (FINRA Rule 3110, supervision requirements, etc.) and/or SEC-registered entities

  • Proven track record managing AML/KYC programs in a financial services or fintech context — not just healthcare or tech

  • Background in private placements, capital raises, or investor onboarding compliance strongly preferred

  • Experience operating across multiple continents and complex legal jurisdictions

  • Track record of building compliance programs from scratch in high-growth or pre-IPO environments

Technical Expertise

  • Deep knowledge of AML/BSA, KYC/KYB/CDD/EDD, OFAC, and FinCEN requirements

  • Command of US securities regulations: SEC, FINRA, Reg D, Reg S, and broker-dealer oversight

  • Strong command of global data privacy law: GDPR, CCPA, and emerging standards

  • FCPA / ABAC expertise and cross-border anti-corruption compliance

Education & Certifications

  • JD or Master's in Law or Compliance strongly preferred

  • CAMS (Certified Anti-Money Laundering Specialist) — strongly preferred, near-essential given the role's AML scope

  • CCEP, LPEC, or equivalent compliance certifications a plus

Attributes

  • Exceptional executive presence — comfortable presenting to boards, investors, and regulators

  • High discretion and sound judgment; experience handling confidential, high-stakes matters

  • Entrepreneurial mindset — able to build structure and process in ambiguous, fast-moving environments

  • Commercial orientation — views compliance as a business enabler, not a blocker

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