Full-Time

Compliance Analyst

Posted on 7/21/2026

TA Realty LLC

TA Realty LLC

Compensation Overview

$75k - $85k/yr

Boston, MA, USA

In Person

Category
Legal & Compliance (1)
Requirements
  • Bachelor’s Degree in a related field required, with demonstrated strong academic performance and extracurricular involvement
  • One to three years of compliance, audit, legal or related experience
  • Compliance, legal and/or public accounting background preferred
  • Familiarity with/working knowledge of the Investment Advisers Act of 1940
  • Regulatory environment experience (SEC, FINRA, CFTC/NFA and ERISA) a plus
  • Private equity fund compliance a plus
  • Highly organized with strong attention to detail
  • Excellent verbal and written communication skills
  • Strong project management skills with ability to manage multiple and sometimes conflicting demands with short deadlines
  • Excellent interpersonal skills with a collaborative work style; extremely flexible, adaptable, a self-starter with the ability to work individually and in a team environment
  • Demonstrates intellectual curiosity and sound professional skepticism
  • Ability to communicate clearly with persons at all levels of the firm (including senior management) on sensitive matters and handle confidential information discreetly
  • Ability to identify, thoroughly investigate and report on various compliance-related matters and determine/recommend an appropriate corrective course of action (with appropriate input from the Compliance Manager or CCO)
  • Proactive management skills and the ability to manage projects independently and to conclusion
Responsibilities
  • Compliance Program Support: Support the development, implementation, ongoing enhancement and monitoring of compliance policies and procedures to ensure regulatory alignment
  • Coordinate with internal teams throughout the firm to enhance current compliance procedures
  • Assist in developing and conducting firmwide training pertaining to the policies and procedures
  • Perform compliance reviews and testing procedures as directed by the Compliance Manager and/or CCO
  • Foster a corporate culture of compliance
  • Regulatory Monitoring & Filings: Assist with regulatory filings and requests (e.g. Form ADV, Form PF, Form SHL, Form SLT, etc.)
  • Monitor regulatory developments and assess impact on the firm
  • Review compliance-related ‘alerts’ from TA Realty’s legal counsel and industry resources and communicate relevant information to the Compliance Team
  • Compliance Platform Management: Support administration of the Firm’s compliance software (Comply) including periodic certifications and monitoring of personal trading monitoring, gifts and entertainment, outside business activity, political contributions, etc.
  • Maintain the Firm’s side letter management platform (Ontra Insights)
  • Cross-Functional Support: Monitor new hire onboarding and departing employee offboarding requirements to ensure completion
  • Assist with internal audit (JSOX) requests from TA Realty’s parent company
  • Assist the CCO or Compliance Manager with additional duties, including regulatory research and ad hoc compliance projects
Desired Qualifications
  • Compliance, legal and/or public accounting background preferred
  • Regulatory environment experience (SEC, FINRA, CFTC/NFA and ERISA) a plus
  • Private equity fund compliance a plus

Company Size

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