Non Tech Web3 Jobs in North America

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Job Position Company Posted Location Salary Tags

Grayscale Investments

Stamford, CT, United States

$90k - $99k

Mysten Labs

United States

$84k - $90k

Mysten Labs

United States

$84k - $90k

Fortress Trust

Salt Lake City, UT, United States

$85k - $112k

VeeFriends

New York, NY, United States

$31k - $90k

Connext

United States

$63k - $75k

21.co

New York, NY, United States

$150k - $200k

21.co

New York, NY, United States

$80k - $115k

MBK Search

Mountain View, CA, United States

$105k - $105k

Nova Labs

San Francisco, CA, United States

$140k - $202k

Aptos

Palo Alto, CA, United States

$130k - $210k

fam.

United States

$63k - $96k

VOOMIO

United States

$45k - $90k

Brandfountain

United States

$45k - $110k

Stardust

Los Angeles, CA, United States

$98k - $180k

Director of Compliance Advertising and Marketing Review

Grayscale Investments
$90k - $99k estimated
CT Stamford, Connecticut, United States
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Position Summary

Grayscale Investments is seeking a Director of Compliance, to support the Firm’s Registered Investment Adviser and Broker-Dealer. Grayscale Investments is the world’s largest digital currency asset manager. Through its family of investment products, Grayscale provides access to the digital currency asset class in the form of a traditional security without the challenges of buying, storing, and safekeeping digital currencies directly. With a proven track record and unrivaled experience, Grayscale’s products operate within existing regulatory frameworks, creating secure and compliant exposure for investors.

Responsibilities:

  • Responsible for facilitating the day-to-day operations of the Firm’s marketing compliance program, including directly overseeing reviews of advertising and marketing materials (including social media) for the Firm’s Registered Investment Adviser and Broker-Dealer, and monitoring marketing activities to promote compliance with internal policies, applicable rules and regulations
  • Work closely with Communications, Marketing, and Sales colleagues to ensure compliance with the Firm’s policies and procedures and to assist with efficient functioning of marketing materials delivery and workflows
  • Monitor ongoing regulatory actions to ensure that team members are conducting business with the most up-to-date industry knowledge
  • Perform targeted reviews in connection with the specific ETF/ETP compliance requirements, including web and document disclosure, and other regulatory and compliance requirements
  • Support the Firm’s compliance program under Rules 38a-1 of the Investment Company Act and 206(4)-7 of the Investment Advisers Act
  • Effectively work and communicate across all levels of the organization

Prior Experience/Requirements:

  • Bachelor's degree with strong academic achievement
  • 8+ years of experience reviewing different types of marketing materials including, registered fund materials, website & social media content, customized investor presentations and distribution of materials for retail and accredited investors
  • Relevant knowledge and/or work experience with a variety of product types including alternative investment vehicles, private funds, and exchange-traded funds is required
  • Strong understanding of the regulatory obligations under Rule 206(4)-1 of the Investment Advisers Act, SEC Marketing Rule, and FINRA Rule 2210, and any other applicable rules, regulations, SEC no-action letters, and interpretive guidance
  • Knowledge of US ETF & ETP regulatory environment, including Investment Company Act of 1940, Investment Advisers Act of 1940, Securities Exchange Act of 1934, and Securities Act of 1933
  • Ability to provide accurate, direct and practical advice in a timely fashion
  • Detail oriented with the ability to assess and prioritize projects
  • Ability to operate in a fast-paced environment
  • FINRA Series 7 and 24 required (or willing to obtain upon joining)