Compliance Consultant - Mutual Fund & Institutional Advisory Compliance
MassMutual
Compliance Consultant – Mutual Fund & institutional Advisory Compliance
Mutual Fund and Investment Adviser Compliance Team
Full-Time
Boston, MA or Springfield, MA
The Opportunity
Join our team as a compliance professional and play a vital role in supporting MassMutual Funds—a diverse mutual fund complex with over 50 open-end funds distributed through various channels, including insurance products and retirement plans. In this dynamic position, you’ll leverage your knowledge of mutual fund and investment adviser regulations to ensure our operations remain compliant and effective. You’ll also collaborate closely with MML Investment Advisers and partner with other MassMutual securities affiliates to coordinate regulatory filings, making a meaningful impact across the organization.
The Team
The Mutual Funds and Institutional Advisory Compliance Team is responsible for running mature but continuously improving compliance and ethics programs for the MassMutual Funds and MML Investment Advisers. Compliance empowers people to do the right thing by fostering a culture of ethics and integrity throughout the company.
We have visibility in almost every aspect of our business, so we are uniquely situated to connect the dots and provide innovative solutions. Every day in compliance brings new challenges and opportunities—if you thrive in a dynamic environment where no two days are the same, this role is for you.
The Impact
In this dynamic role, you’ll play a key part in ensuring the effectiveness of the Funds’ and Adviser’s compliance framework by evaluating policies and procedures, assessing risks for new products and operations, and providing expert guidance on complex regulations. You’ll administer the Code of Ethics, stay ahead of regulatory developments, and help resolve conflicts of interest. Your work will support critical business initiatives, involve due diligence on service providers, and include oversight of MassMutual’s filings with both domestic and international securities regulators—all as part of a collaborative, high-performing compliance team.
We are seeking candidates who have mutual fund and investment advisory compliance, legal, risk, or operations experience with the passion, interest, and necessary skills to grow in this field.
This position will have the following responsibilities:
Administration of our Code of Ethics:
Training and on-boarding new associates, including setting up the new associate in the personal trading system (FIS Employee Compliance Manager)
Off-boarding associates
Daily and quarterly review of personal trading activity and addressing potential breaches of regulations and company policy
Quarterly administration of certification process
Providing guidance and training to associates
Engagement with and oversight of system vendor, including implementation of upgrades to FIS ECM system
Leading continuous improvement projects around the administration of the Code of Ethics, including the implementation of new electronic broker feeds
Administration of our Substantial Shareholder Filings:
Daily review of company-wide portfolio holdings in FundApps system for possible filing obligations in foreign jurisdictions
Daily coordination of activity and possible filings with various securities affiliates of MassMutual
Engagement with and oversight of system vendor
Manage the annual registration process for MML Investment Advisers and the other-than-annual filing requirements (i.e., updating and filing Form ADV)
Coordinate with various securities affiliates of MassMutual periodic filings with the Securities and Exchange Commission, including Forms 13F, 13H, and N-PX.
Manage or oversee various other reporting activity, such as around political contributions.
Remain current on regulatory requirements, developments, and best practices, and influencing the integration of such practices into our business for a best-in-class compliance program.
Identify education initiatives created by new regulations or areas needing further educational support; coordinate, develop, and/or provide educational programming.
Handle broader compliance projects and complete special assignments as required.
Core Competencies & Values:
Risk Awareness & Management - Identifies, assesses, and mitigates compliance risk in order to support the organization’s strategic goals. Provides the right advice, using the right approach, at the right time
Drives Change - Seeks out new opportunities, asks bold questions, and embraces new ideas and methods
Includes Others - Creates a welcoming environment that values people’s differences and contributions
Improves and Innovates - Understands how work impacts our business and constantly looks for ways to create a better customer experience
Develops People - Gives and receives feedback consistently and takes action to improve oneself and help others
Gets Things Done - Works collaboratively to move work forward and deliver on commitments
Focuses on the Customer - Understands our customers and put their needs first
Acts with Integrity - Is fair, honest, and empathetic
Champions Diversity - Embraces and reflects diverse cultures, backgrounds, experiences, and perspectives
The Minimum Qualifications
Bachelor’s degree
3+ years of experience in a regulatory compliance, legal, risk, or related function, ideally within the asset management or broader securities industry
The Ideal Qualifications
Knowledge of regulatory framework governing mutual funds and institutional investment advisers.
Familiarity with Code of Ethics regulations and personal trading system like FIS ECM, or willingness to learn.
Familiarity with substantial shareholder regimes and foreign filing system like FundApps, or willingness to learn.
Strong organizational skills and attention to detail, with the ability to manage diverse projects and assignments in a timely and quality manner in a complex work environment
Strong communication and interpersonal skills, with the ability to build rapport with third-party service providers and work across internal business groups in a confident and constructive manner.
Exhibits highest ethical standards.
Good analytical skills, with the ability to effectively identify, communicate, and address potential issues.
Proficient with Microsoft Office programs and at least some exposure to data base, data visualization software, and AI-driven solutions.
Ability to work independently and as a team player.
Ability to meet deadlines.
Ability to deal effectively with peers, as well as clients at all levels and areas of the organization.
Willingness to learn and ability to adapt to change driven by regulatory, industry, and business developments.
This position also will require the associate to comply with an Investment Advisory Code of Ethics (“Code”) pursuant to SEC rules and regulations. In accordance with Code provisions, you may be required to disclose, among other things, personal securities accounts (including household members) and investment transactions directed by you or members of your household. The company will also need to obtain duplicate trade confirmations and account statements from applicable brokers for monitoring purposes. In addition, you will need to make disclosures required by Form ADV.
What to Expect as Part of MassMutual and the Team
Regular meetings with the Mutual Fund and Investment Advisory Compliance Team
Focused one-on-one meetings with your manager.
Networking opportunities, including access to Asian, Hispanic/Latinx, African American, women, LGBTQIA+, veteran, and disability-focused Business Resource Groups.
Access to learning content on Degreed and other informational platforms.
Two days annually dedicated to your professional and personal development.
Your ethics and integrity will be valued by a company with a strong and stable ethical foundation, offering industry-leading pay and benefits.
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Salary Range:
$86,200-$113,100At MassMutual, we focus on ensuring fair equitable pay, by providing competitive salaries, along with incentive and bonus opportunities for all employees. Your total compensation package includes either a bonus target or in a sales-focused role a Variable Incentive Compensation component.
Why Join Us.
We’ve been around since 1851. During our history, we’ve learned a few things about making sure our customers are our top priority. In order to meet and exceed their expectations, we must have the best people providing the best thinking, products and services. To accomplish this, we celebrate an inclusive, vibrant and diverse culture that encourages growth, openness and opportunities for everyone. A career with MassMutual means you will be part of a strong, stable and ethical business with industry leading pay and benefits. And your voice will always be heard.
We help people secure their future and protect the ones they love. As a company owned by our policyowners, we are defined by mutuality and our vision to put customers first. It’s more than our company structure – it’s our way of life. We are a company of people protecting people. Our company exists because people are willing to share risk and resources, and rely on each other when it counts. At MassMutual, we Live Mutual.
MassMutual is an equal employment opportunity employer. We welcome all persons to apply.
If you need an accommodation to complete the application process, please contact us and share the specifics of the assistance you need.
At MassMutual, we focus on ensuring fair, equitable pay by providing competitive salaries, along with incentive and bonus opportunities for all employees. Your total compensation package includes either a bonus target or in a sales-focused role a Variable Incentive Compensation component. For more information about our extensive benefits offerings please check out our Total Rewards at a Glance.