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Investment Compliance Associate Jobs in Bothell, WA

... associate to join its Capital Markets and Public Companies group. The ideal candidate must have ... investment banks. Experience must include advising public companies with respect to SEC compliance ...

Associate General Counsel

Seattle, WA ยท Hybrid

$185K - $343K/yr

Director, Associate General Counsel Type: Direct Hire Location: San Jose, CA (Hybrid) - Relocation ... compliance obligations applicable to a regulated investor-owned water utility * Provide legal ...

We automate investment structures in venture capital: how can you help scale post-deal processes so ... You will also be collaborating with our wider Carta accounting, fund administration and compliance ...

Associate, Tax Delivery

Seattle, WA ยท On-site

$79K - $93K/yr

We automate investment structures in venture capital: how can you help scale post-deal processes so ... You will also be collaborating with our wider Carta accounting, fund administration and compliance ...

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Investment Compliance Associate information

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How much do investment compliance associate jobs pay per hour?

As of Aug 3, 2026, the average hourly pay for investment compliance associate in Bothell, WA is $39.58, according to ZipRecruiter salary data. Most workers in this role earn between $25.82 and $49.18 per hour, depending on experience, location, and employer.

What are the typical daily responsibilities of an Investment Compliance Associate?

As an Investment Compliance Associate, your daily tasks often include monitoring investment portfolios to ensure adherence to regulatory guidelines and internal policies, reviewing trade activity for compliance breaches, and preparing regular reports for senior management. You will frequently collaborate with portfolio managers, legal teams, and risk management to resolve compliance issues and implement policy updates. Staying current with regulatory changes and participating in compliance training sessions is also part of the role, helping you contribute to a culture of compliance within the organization.

What is the difference between Investment Compliance Associate vs Investment Analyst?

AspectInvestment Compliance AssociateInvestment Analyst
Required CredentialsTypically a bachelor's degree in finance, economics, or related field; certifications like CFA or CAMS are a plusUsually a bachelor's degree in finance, economics, or related; CFA is common but not mandatory
Work EnvironmentRegulatory compliance teams within asset management firms, hedge funds, or banksResearch and analysis teams in asset management, investment firms, or banks
Employer & Industry UsageUsed in firms with a focus on regulatory adherence and risk managementUsed in investment decision-making, portfolio management, and market analysis

The Investment Compliance Associate primarily focuses on ensuring adherence to regulatory and internal policies, while the Investment Analyst concentrates on analyzing investment opportunities and market data. Both roles require strong financial knowledge and often overlap in skills, but their core responsibilities differ significantly.

What does an Investment Compliance Associate do?

An Investment Compliance Associate is responsible for ensuring that investment activities and processes within a firm adhere to legal, regulatory, and internal policy requirements. They review transactions, monitor portfolios for compliance with investment guidelines, and help implement controls to prevent violations. The role often involves working closely with portfolio managers, legal teams, and regulators to address compliance issues and support audits. Their work helps protect the firm from regulatory risks and reinforces investor confidence.

What are the key skills and qualifications needed to thrive as an Investment Compliance Associate, and why are they important?

To thrive as an Investment Compliance Associate, you need a solid understanding of financial regulations, investment products, and compliance procedures, often supported by a degree in finance, business, or a related field. Familiarity with compliance monitoring systems, Bloomberg, and knowledge of regulatory frameworks like SEC or FINRA rules are typically required. Strong attention to detail, analytical thinking, and effective communication skills help set top performers apart. These skills ensure that investment firms operate within legal boundaries, mitigate risk, and maintain the trust of clients and regulators.
What job categories do people searching Investment Compliance Associate jobs in Bothell, WA look for? The top searched job categories for Investment Compliance Associate jobs in Bothell, WA are:
What cities near Bothell, WA are hiring for Investment Compliance Associate jobs? Cities near Bothell, WA with the most Investment Compliance Associate job openings:
Infographic showing various Investment Compliance Associate job openings in Bothell, WA as of June 2026, with employment types broken down into 71% Full Time, 20% Part Time, 1% Temporary, 7% Contract, and 1% Nights. Highlights an 91% Physical, 5% Hybrid, and 4% Remote job distribution, with an average salary of $82,330 per year, or $39.6 per hour.

Legal and Compliance Associate

Cercano Management

Bellevue, WA โ€ข On-site

Other

Medical, Dental, Vision, Life, Retirement, PTO

Posted 4 days ago


Job description

COMPANY OVERVIEW 

Cercano Management LLC (“Cercano”) is a multi-family office that provides investment advisory services, including access to a range of alternative investment funds, while also offering clients a comprehensive suite of family office services.​ Cercano is based in Bellevue, WA, with offices in Minneapolis, MN, and Singapore. Cercano invests globally for its clients, commonly operating as the family office Chief Investment Officer. The team has extensive experience in direct investing in all stages of venture capital, private equity, private credit, and public equities on a global basis. 

At Cercano, we focus on delivering to a select group of families, a client experience informed by the heritage, discretion, investment access, and alignment commonly associated with a single-family office. We dedicate ourselves to understanding each family’s objectives and values and to developing customized, holistic solutions that support long-term growth and generational wealth preservation. Our goal is to serve as a trusted partner by offering services at the intersection of institutional investment management, alternative investment funds, operational capabilities, and family office services.​ 

POSITION MISSION 

We are currently seeking a Legal and Compliance Associate who will play an integral role in Cercano’s Legal and Compliance Department, supporting the Senior Paralegal, Associate General Counsel, and Chief Compliance Officer. The ideal candidate is highly organized, detail oriented, and able to manage legal and compliance matters with sound judgment, professionalism, and discretion. The role requires strong written and oral communication skills, the ability to work collaboratively with internal and external stakeholders, and the capacity to think critically, manage competing priorities, and present information clearly and confidently. 

We are seeking a candidate with relevant experience in legal operations, corporate governance, investment management, private fund matters, transactional support, and regulatory compliance. Experience with SEC-registered investment advisers, private funds, securities law compliance, or financial services is strongly preferred. 

ESSENTIAL DUTIES AND RESPONSIBILITIES 

  • Assist with the development, maintenance, and organization of legal and compliance records, document management systems, and knowledge management resources. 
  • Support the review, coordination, and tracking of legal agreements, including confidentiality agreements, vendor contracts, subscription documents, operating agreements, side letters, and other fund or investment-related documentation. 
  • Maintain databases and trackers for legal documents, regulatory filings, compliance certifications, employee activities, corporate governance matters, and other recurring legal and compliance processes. 
  • Assist with corporate governance and transactional matters, including entity formation and maintenance, annual reporting, subscription materials, transfer documentation, closing binders, and internal approval processes. 
  • Prepare, organize, and maintain structure charts, AML/KYC materials, investor or counterparty diligence materials, and responses to related requests. 
  • Assist with regulatory and securities filings, including EDGAR filings, ADV, individual registrations and other legal or compliance filings, as applicable. 
  • Coordinate with attorneys, investment professionals, operations, finance, accounting, external counterparties, service providers, and consultants regarding project status, deadlines, documentation, and follow-up items. 
  • Support compliance program administration, including employee certifications, personal trading processes, marketing review tracking, training records, annual review materials, vendor due diligence, and other compliance monitoring activities. 
  • Liaise with finance and accounting to facilitate payment and tracking of legal and compliance invoices. 
  • Schedule and coordinate internal and external meetings, conference calls, and follow-up items for legal and compliance matters. 
  • Perform ad hoc legal, compliance, and administrative projects as needed. 
  • Maintain a high level of confidentiality, professionalism, and discretion in all interactions. 

QUALIFICATIONS 

To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. The requirements listed below are representative of the knowledge, skill, and/or ability required. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions. 

Knowledge, experience, skill, and/or ability 

Required 

  • Relevant experience in a legal, compliance, corporate governance, investment management, private fund, financial services, or law firm environment. 
  • Experience reviewing, drafting, organizing, and tracking agreements, legal documents, diligence materials, regulatory filings, or compliance records. 
  • Excellent organizational, writing, and interpersonal skills. Must be highly organized and detail oriented and able to work both collaboratively and independently.  
  • Professional demeanor, resourceful and able to handle multiple and changing priorities.  
  • Strong work ethic, sound judgment, and commitment to accuracy, confidentiality, and professionalism. 
  • Ability to work well in a fast-paced environment with a demonstrated sense of urgency, responsiveness, and commitment. 
  • Hybrid work schedule with preference for not less than three days per week at Cercano’s Bellevue, WA or Minneapolis, MN office 


Computer skills 

  • Proficiency in SharePoint and Microsoft Office software (e.g. Word, Excel, OneNote, Teams, PowerPoint, and Outlook) 
  • Proficiency in contract lifecycle management tools and e-signature platforms is helpful. 
  • Proficiency in compliance software systems is also helpful. 


Education/experience/certifications 

  • B.A. or B.S. degree from an accredited institution and a minimum of 2-3 years relevant legal, compliance, corporate governance, investment management, or financial services experience. 
  • Paralegal certificate, compliance certification, or other relevant professional credential beneficial but not required. 
  • Familiarity with investment management, private funds, corporate transactions, securities law compliance, or regulatory filings preferred. 


SALARY RANGE:  $81,170 - $121,760 annually, with a target hiring range of $81,170 - $101,460 based on experience, qualifications, and job-related factors.

SALARY DETAILS:


Pay will be based on multiple factors, including, and not limited to location, relevant experience/level and skillset while balancing internal equity. Our discretionary bonus program is in addition to the base compensation range listed above. Cercano is committed to fair, unbiased compensation along with competitive benefits in all locations in which we operate. 

TOTAL REWARDS: 


Cercano offers a comprehensive benefits package including medical, dental and vision insurance, Health Savings Account with generous annual employer contribution, Flexible Spending Accounts for health and dependent care, vacation and sick time off, paid holidays, paid parental leave, and the opportunity to participate in a 401(k) plan with a generous employer match of 50% of your own contributions up to the standard annual IRS limit, company paid life insurance, and a Health and Wellness Benefit.  Employees are also eligible for reimbursement for approved professional development activities. 


Cercano Management LLC is an equal opportunity employer. Every qualified applicant will be considered for employment. We do not discriminate based on race, color, religion, gender, sexual orientation, age, national origin, marital status, sex, disability, political ideology, or veteran status, or other protected class.