Partnership Executive Consultant in United States at Jobgether
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Job Description
This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Partnership Executive Consultant in the United States.
This senior-level advisory role sits at the intersection of compliance expertise, client consulting, and strategic partnership development within the financial services regulatory space. You will act as a trusted advisor to sophisticated clients across investment advisory and related financial sectors, helping them navigate complex regulatory requirements with clarity and confidence. The role blends deep technical compliance knowledge with high-impact client engagement, internal mentorship, and thought leadership. You will lead complex consulting engagements, shape regulatory solutions, and contribute to the evolution of service offerings. Operating in a highly collaborative environment, you will also support internal teams and business development efforts. This position is ideal for an experienced compliance professional who thrives in a client-facing, strategic, and influence-driven role.
- Lead and manage client relationships across recurring engagements and project-based consulting work, ensuring high-quality service delivery.
- Conduct advanced compliance reviews (remote and on-site), synthesizing findings into clear, actionable recommendations and deliverables.
- Draft, review, and enhance regulatory documentation, including policies, procedures, and disclosure materials.
- Advise clients on evolving regulatory developments, risk areas, and industry best practices.
- Contribute to internal service innovation, including the development, refinement, and rollout of new consulting offerings.
- Support internal teams as a senior subject matter expert, providing guidance on complex regulatory and client scenarios.
- Partner with sales teams on scoping engagements, proposal development, and select client or prospect discussions.
- Represent the organization externally through thought leadership activities such as webinars, conferences, and written publications.
- 8–12+ years of experience in investment advisory compliance, with exposure to private funds strongly preferred.
- Prior experience in compliance consulting or senior advisory roles within financial services environments.
- Strong understanding of regulatory frameworks such as SEC requirements; familiarity with FINRA, CFTC, or NFA is a plus.
- Proven ability to interpret complex regulations and translate them into practical, client-ready guidance.
- Excellent communication and interpersonal skills, with the ability to influence stakeholders at all organizational levels.
- Demonstrated experience contributing to training, service development, or internal capability-building initiatives.
- Strong analytical thinking, problem-solving ability, and attention to detail in high-stakes environments.
- Proficiency in Microsoft Office Suite and willingness to travel as required.
- Competitive total compensation package, including base salary and performance-based bonus opportunities
- Health coverage options, including medical, dental, and vision plans
- Retirement savings plans with employer contributions
- Paid time off and holiday benefits
- Remote or flexible work arrangements depending on role requirements
- Professional development opportunities, including training and industry events
- Exposure to high-impact, complex client engagements in a leading regulatory consulting environment
- Opportunities for thought leadership, publishing, and speaking engagements