Senior Compliance Associate (Asset Management)
Company: Barrow Hanley Global Investors
Location: Dallas
Posted on: February 16, 2026
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Job Description:
Job Description Job Description About Barrow Hanley Global
Investors : Founded in 1979, Barrow Hanley is a diversified
investment management firm offering value-focused investment
strategies spanning global equities and fixed income. Recognized as
one of the few remaining firms dedicated exclusively to value
investing, Barrow Hanley enjoys a boutique culture with a singular
focus to assist clients in meeting their investment objectives.
Barrow Hanley stewards the capital of corporate, public,
multi-employer pension plans, mutual funds, endowments and
foundations, and sovereign wealth funds across North America,
Europe, Asia, Australia and Africa. Job Description: The Sr.
Compliance Associate is a highly visible role, responsible for
providing support to the Chief Compliance Officer (CCO) in the
oversight of the compliance program for Barrow Hanley, providing
guidance to the firm’s employees at all levels about the compliance
program, and providing service to clients’ and parent company’s
compliance teams. This position supports the CCO in the
development, implementation, and maintenance of policies and
procedures designed to mitigate the risk of Barrow Hanley violating
legal, regulatory, or firm policies, and the identification,
analysis, and resolution of issues surfaced by business, compliance
teams, auditors, and regulators. This role on the team will
specifically relate to the Regulatory Compliance function but will
also have a wide range of compliance exposure. Key
Responsibilities: Client & Employee Reporting 50% Manage compliance
with and meet deadlines to fulfill assigned SEC, state, federal,
foreign country, and/or other applicable regulatory filings and
requirements. Support investment selection and implementation /
trading by managing Charles River (CRIMS) rules library and
monitoring daily trading and nightly batch reviews of clients’
guidelines and restrictions. Responsible for client
relations/support with compliance staff of assigned clients, manage
and complete 15(c) and DDQ reports with supporting documentation
and other compliance certifications/reports, schedule and meet
deadlines for client reporting, and manage ad hoc requests from
clients and co-workers. Conduct compliance reviews of advertising
material produced by Client Development/Marketing teams. Support
and maintain Barrow Hanley’s Compliance Policies & Procedures
Manual, Code of Ethics and Conduct, and Affiliate Level Risk
Policies. Support annual compliance program review, including
conducting forensic tests of the firm’s internal control on a
scheduled, ad hoc, and issue-based basis to support the firm’s
overall risk management program. Audit & Reporting 25% Manage the
firm’s SOC 1 Type 2 Internal Controls Audit Support the firm’s
three lines of accountability risk management strategy in
coordination with the parent company. Support the CCO by performing
internal compliance reviews and monitoring activities, including
periodic reviews of business units’ policies, procedures, and
processes. Support the CCO with confidential investigations and
acting on matters related to compliance. Monitor and review
reporting systems and employees’ actions required by the firm’s
internal control policies and securities regulations. Conduct
compliance tests and/or reviews as directed by the CCO, identify
discrepancies, and support the business from a technical
perspective in developing appropriate remedial actions. Leadership
& Compliance Education 15% Work closely with co-workers to provide
training on the firm’s policies and use of the firm’s systems for
monitoring and reporting activities. Engage with and be a resource
to co-workers at all levels on the firm’s internal control policies
and their application and effective implementation to the business.
Support the development and implementation of new technology
adopted by Barrow Hanley to ensure compliance is built into the use
of these systems. Elevate compliance matters to the CCO. Industry
Knowledge 10% Maintain knowledge of current applicable regulatory
requirements. Provide sound technical support on the complex
interpretation and understanding of new regulations and policy
(including supporting documents and systems) requirements.
Education & Experience Required Bachelor’s Degree plus 5 years of
compliance management experience with an SEC-registered Investment
Advisor or Investment Company. Extensive knowledge of the financial
services industry including, asset management, registered
investment company/mutual funds, Private Funds, Trusts, ERISA,
UCITS, and associated risks. IACCP designation preferred, but not
required. Skills & Abilities Technical Skills Demonstrate knowledge
of global markets and applicable securities regulations including,
the Investment Advisers Act of 1940, the Investment Company Act of
1940, the Securities and Exchange Act of 1934, and non-U.S.
securities regulations, and the ability to analyze and identify the
application of existing and proposed regulations and compliance
issues in both U.S. and foreign markets as they relate to
investment management and marketing. Demonstrate ability to read,
understand, and interpret regulatory language, possess strong
analytical skills, independent and critical thinking, and sound
judgment. Ability to understand complex technical systems and the
business processes they support, synthesize the corresponding data,
associated risks and controls, and recommend adjustments.
Proficiency with CRIMS, Salesforce, EdgarNext, FactSet, Bloomberg,
or ability to learn and adapt to business applications. Soft Skills
Demonstrate leadership and diplomatic skills through ownership of
issues seen through resolution, providing sound guidance to others,
and positively influencing organizational culture. Ability to
demonstrate a professional, pleasant demeaner with co-workers,
remain calm in moments of pressure, safeguard confidential
information, prioritize tasks, juggle multiple tasks at once, meet
deadlines, tailor communications to effectively fit and influence
the targeted audience, and politely explain regulatory or policy
requirements. Ability to work independently, self-starter,
attention to details, intellectual curiosity to learn new things,
solve problems, and provide support to the business. Strong work
ethic, high attention to detail and accuracy. *This job is not
eligible for visa sponsorship* Barrow Hanley recruits, hires,
employs, trains, promotes, and compensates individuals based on
job-related qualifications and abilities and provides a work
environment that ensures all employees are free from discrimination
or harassment because of race, color, sex, gender, age, religion or
religious creed, national origin, ancestry, citizenship, marital
status, sexual orientation, gender identity, gender expression,
physical or mental disability, military or veteran status, public
assistance needs, or any other characteristic protected by law.
Barrow Hanley provides reasonable accommodation to qualified
individuals with disabilities or based on a sincerely held
religious belief, in accordance with applicable laws. If you need
to inquire about an accommodation, need assistance with the
application process, or would like to view the Firm’s related
policies, please email HR at KHerring@BarrowHanley.com. Powered by
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Keywords: Barrow Hanley Global Investors, Frisco , Senior Compliance Associate (Asset Management), Accounting, Auditing , Dallas, Texas