K

Kimber Labs

Compliance Director

Full-Time
No salary listed
Mid, Senior
Bachelor's, MBA, JD
Remote in USA
Remote

About the job

Requirements
  • A bachelor's degree in Finance, Business, Law, or a related field is required.
  • At least 5 years of experience in compliance roles within the financial services industry is required.
  • Active FINRA Series 7 and Series 24 licenses are required; candidates without current licenses must obtain them within 90 days of hire.
  • A blockchain analytics and investigations certification from a recognized provider, such as Chainalysis Reactor Certification, Chainalysis Certified Investigator, or TRM Labs certification, is required; candidates without certification must obtain it within 90 days of hire.
  • A solid understanding of SEC and FINRA rules is required, including Regulation Best Execution, Rule 17a-3, Rule 17a-4, and antifraud provisions under Section 10(b) of the Securities Exchange Act and Rule 10b-5.
  • The candidate must be able to manage compliance programs, conduct audits, and handle regulatory interactions.
  • Proficiency in compliance software and tools for monitoring, reporting, and case management is required.
  • The candidate must demonstrate high ethical standards and commitment to fostering a compliant organizational culture.
Responsibilities
  • Develop, implement, and maintain comprehensive compliance policies, procedures, and controls tailored to public blockchain-based broker-dealer operations.
  • Assist in drafting and negotiating materials for Form BD submission.
  • Monitor and interpret regulatory changes from the SEC, FINRA, and other relevant authorities, and update firm practices accordingly.
  • Conduct regular internal audits, risk assessments, and testing to identify and address potential compliance issues.
  • Oversee the broker-dealer's Anti-Money Laundering program, including suspicious activity reporting and customer due diligence.
  • Serve as KDAB's AML/Compliance Director and own its DABA-mandated AML/ATF program, including risk assessment, customer due diligence, ongoing transaction monitoring, sanctions and politically exposed person screening, suspicious transaction reporting, freeze/seize procedures, and liaison with the Bermuda Monetary Authority.
  • Ensure compliance with transfer agent regulations, including SEC Rules 17Ad-1 through 17Ad-20, covering recordkeeping, safekeeping of securities, and timely processing of transfers and issuances.
  • Provide compliance training and guidance to sales, trading, and operations employees.
  • Manage regulatory examinations, inquiries, and filings, including Form BD amendments, Form TA-2, Form U4/U5, and annual compliance reports.
  • Collaborate with senior management to integrate compliance considerations into business strategies and product development, particularly for US digital asset offerings.
  • Investigate and resolve compliance-related incidents, including client complaints and ethical concerns.
  • Maintain accurate records of compliance activities and prepare reports for the Board of Directors and executive leadership.
  • Stay current on industry best practices and emerging risks in cybersecurity, data privacy, and digital asset compliance.
Desired Qualifications
  • Experience with broker-dealer operations is preferred.
  • A JD, MBA, or relevant certifications such as CRCP or CAMS is preferred.
  • At least 7 years of compliance experience, including supervisory or leadership roles in a broker-dealer and transfer agency setting, is preferred.
  • Series 63 or equivalent state registrations are strongly preferred.
  • Additional FINRA licenses such as Series 4 or Series 14 are a plus.
  • Experience with digital asset regulations and compliance challenges in cryptocurrency or blockchain is preferred.
  • Familiarity with Bermuda's Digital Asset Business Act 2018 and BMA AML/ATF requirements, including prior service as an AML/Compliance Director or Reporting Officer for a regulated digital asset business, is preferred.
  • Hands-on proficiency with blockchain analytics and investigations platforms such as Chainalysis or TRM Labs is preferred.
  • Experience with risk management frameworks and data analytics for compliance monitoring, including transfer agent-specific processes, is preferred.
  • Familiarity with SEC transfer agent regulations and systems for managing securities ownership records and transaction processing is preferred.

About the company

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