Chief Compliance Officer — SEC Registered Investment Adviser (RIA)
Location: USA (Remote)
Reporting to: Chief Compliance Officer - Global
We are an SEC-regulated wealth and investment business seeking an experienced Head of Compliance to support and strengthen our US compliance function. This role will play a key part in maintaining robust regulatory oversight while contributing to the continued development and scalability of our compliance framework.
The successful candidate will operate within an established infrastructure, partnering closely with the Chief Compliance Officer and senior leadership to ensure regulatory integrity, effective risk management, and operational efficiency.
Key Responsibilities
Immediate priorities
Medium-term responsibilities
Candidate Profile
Required
Preferred
Success Measures (First 90 Days)

The Future of Wealth Management: International financial advice, investments, tax, and retirement planning, powered by award-winning wealthtech. Where innovation meets expertise to secure your financial future.
Hoxton Wealth provides unparalleled personal financial advice to expatriate clients living globally. Hoxton Wealth is a borderless, independent financial advisory consultancy, unrelenting in its commitment to safeguarding your financial future. Founded by UK qualified financial advisers, Hoxton Wealth offers a fresh approach with a dynamic energy that sets it apart from its competitors in the offshore marketplace.
Hoxton Wealth offers financial support across three stages:
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