Octagon Credit Investors, LLC is a 25+ year old, $34+B investment adviser focused on leveraged loan, high yield bond, and structured credit (CLO debt and equity) investments. Through fundamental credit analysis and active portfolio management, Octagon's investment team identifies attractive relative value opportunities across below-investment grade asset classes, sectors, and issuers. Octagon's investment philosophy and methodology encourage and rely upon dynamic internal communication to manage portfolio risk. Over its history, the firm has applied a disciplined, repeatable, and scalable approach in its effort to generate attractive risk-adjusted returns for its investors.
The firm was founded in 1994 as a separate business unit of Chemical Bank and in 1999, Octagon spun out from Chase Manhattan Bank. Octagon honors its heritage through its company name and logo, both of which are derived from Chase Manhattan's emblem. Located in New York, the firm currently comprises approximately 90 employees, many of whom have spent their entire professional careers at Octagon.
Octagon believes that providing a challenging and rewarding career, combined with a supportive work environment, incents employees to remain at the firm. Significant employee ownership and low employee turnover also underscore our culture of partnership, teamwork, and dedication to preserving investor capital across all our funds/accounts under management. We also embrace the principles of diversity, equity, and inclusion; our employees can bring the best version of themselves to work every day. We thrive in an environment where everyone's voice is heard, every idea counts, and the differences of our employees are valued.
Position Summary:
The Senior Associate is responsible for supporting the Compliance team with various aspects of regulatory reporting, testing, and daily compliance monitoring. We are looking for an experienced compliance professional who will take on an integral role in helping to contribute to the management of Octagon's compliance program.
Essential Duties and Responsibilities:
Active monitoring of advisory and broker-dealer activities to ensure compliance with policies & procedures
Deep knowledge and administration of the firm's compliance testing program under 206(4)-7 and books and records oversight to ensure effectiveness
Contribute to the administration of the firm's Code of Ethics, which includes numerous policies such as Personal Securities, management of MNPI/Conflicts of Interest, etc.
Active monitoring and research of regulatory rules and coordination of policy updates and implementation
Deliver comprehensive compliance education and training programs to employees at all levels
Answer questions pertaining to the firm's compliance policies, apply judgment in response to day-to-day questions, and follow up with solutions/process improvement
Assist in the preparation, documentation, and submission of Form ADV, Form PF, Form 13F and other regulatory, federal, state and governmental filings and help manage ongoing filing matters
Prepare for and respond to regulatory inquiries, examinations, internal and external audits
Participate in various internal Committees and assist by creating meeting materials
Facilitate 40 Act compliance requirements and assist with reviews of private credit investments subject to 40 Act requirements, including those for BDCs
Facilitate clients'/funds' reporting including 40 Act, Private Funds and non-US jurisdictions and compliance review of marketing materials
Assist with Compliance review of portfolio management process, which includes trade monitoring, testing and error correction, and active assessment of conflicts of interest
Establish expertise in company products and overall business needs
Proactively engage in any ad-hoc or special projects that may arise
Areas of Knowledge, Skills, and Abilities/Qualifications:
5+ years of Investment Adviser Compliance experience
FINRA Series 7, 63, and 24 (optional)
Candidates holding a J.D. are welcome
Working knowledge of the following: Private Credit, 40 Act Funds, Collateralized Loan Obligations (CLOs), and/or legal knowledge (i.e., fund structure, regulatory research, transactions, governance, etc.)
Regulatory reporting (e.g., Form ADV, Form PF, AIFMD/foreign filings), including coordination with peers and service providers, analysis of instructions, and processing data
Ability to analyze and partner with stakeholders to implement new regulatory requirements
Sophisticated conflict and risk assessment capability, including ability to analyze MNPI and ability to exercise discretion and judgment
Strong proficiency in Microsoft Office applications
Excellent written and oral communication skills, strong analytical skills, and exemplary attention to detail
Ability to multi?task, be proactive, work independently, and work effectively under pressure (often under deadlines and changing priorities)
Highly motivated, proactive team player with a positive attitude
Outstanding reputation of professional integrity and maturity
Ability to clearly articulate views and supporting data
Compensation and Benefits:
Competitive salary and eligibility for year-end performance-based bonus
Medical, dental, vision, life, and disability insurance
Commuter benefits
401(k) matching program
Employee Assistance Program ("EAP")
Professional designation and licensure assistance
Family support and leaves of absence
Contact:
Contact: careers@octagoncredit.com
Attention: Howard Barkin, Recruitment Manager
Please note that Octagon does not sponsor work visas or immigration-related employment benefits. We encourage all individual applications; please, no recruiters or agencies.