Position Summary: The Compliance Associate will work for the Chief Compliance Officer of Stockbridge Capital Group, LLC and its affiliate Core and Value Advisors, LLC, each of which are Registered Investment Advisors with the Securities and Exchange Commission (the “SEC”). The Compliance Associate oversees and manages the corporate Compliance Program, and reviews and evaluates compliance issues within the organization. The Compliance Associate ensures that the management of the firm and employees act in compliance with the rules and regulations of the firm and regulatory agencies. They also work to ensure that firm’s policies and procedures are being followed, and that behavior in the organization meets the minimum standards of conduct. The Compliance Associate d
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