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About the role
<div class="ms-outlook-mobile-reference-message skipProofing"><strong>About Future Standard<br><br></strong>Future Standard (formerly FS Investments) is an alternative asset manager dedicated to delivering attractive returns across private equity, private credit and real estate. Following its 2023 acquisition of Portfolio Advisors, FS now manages over $86 billion for both institutional and wealth management clients around the world, drawing on 30 years of experience and operating across nine global offices. The firm’s investment professionals manage a wide range of differentiated strategies across private markets and collectively manage relationships with 300+ sponsors. Future Standard’s active partnership model creates a virtuous cycle of superior market insights and deal flow, which inform the underwriting process and help to generate strong returns.<strong><br><br>The Role</strong></div>
<div class="ms-outlook-mobile-reference-message skipProofing">We are hiring a<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">Compliance</span><span class="Apple-converted-space"> </span>Associate to anchor the fund<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>function within our India GCC. This is a foundational hire in a newly established<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>team — not a process-running seat in a mature function. The successful candidate will own the day-to-day execution of fund and regulatory<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>for the firm’s private credit and private equity strategies, while also contributing to the design and continuous improvement of the<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>framework itself.</div>
<div class="ms-outlook-mobile-reference-message skipProofing">This role reports into US-based senior<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>leadership with India CoE oversight, and partners closely with investment, legal, operations, and technology teams across the firm. It is positioned for someone who wants to operate in a global<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>function with real ownership, exposure to US regulatory matters, and the opportunity to shape how the function is built from the ground up.</div>
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<div class="ms-outlook-mobile-reference-message skipProofing"><strong>What You Will Own</strong></div>
<div class="ms-outlook-mobile-reference-message skipProofing">Fund<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>and conflicts management (primary scope). You will lead the review of conflicts of interest across investments — both within individual funds and across the platform. This includes cross-fund allocation reviews, co-investment conflict analysis, related-party transaction monitoring, and the maintenance of conflict registers. You will work closely with the investment teams to ensure that the firm’s conflict-of-interest framework is consistently applied across the deal lifecycle.</div>
<div class="ms-outlook-mobile-reference-message skipProofing">Regulatory<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>and reporting. You will support the firm’s obligations under SEC and FINRA regulations as they apply to a registered investment adviser, including periodic regulatory filings (Form ADV, Form PF), policy maintenance, and rule-change tracking. You will be the India-side point of contact for regulatory monitoring and will support the US team during examinations and inquiries.<br><br></div>
<div class="ms-outlook-mobile-reference-message skipProofing">Third party risk management. You will run the periodic vendor due diligence and ongoing monitoring programme — covering initial onboarding diligence, annual reassessments, and continuous monitoring of critical service providers. This includes maintaining the vendor risk register and partnering with operations and technology on remediation of identified risks.<br><br></div>
<div class="ms-outlook-mobile-reference-message skipProofing">Trade surveillance. You will conduct weekly reviews of trade blotters to identify unusual trading activity, escalate exceptions, and maintain the surveillance log. You will partner with the broader<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>team to refine surveillance thresholds and rules over time, and to evaluate technology-enabled surveillance capabilities.<br><br></div>
<div class="ms-outlook-mobile-reference-message skipProofing">Access control and entitlement reviews. You will own periodic employee access reviews across the firm’s critical systems — coordinating with IT and business owners to validate user permissions, recertify access, and remediate exceptions in line with the access governance framework.<br><br></div>
<div class="ms-outlook-mobile-reference-message skipProofing">Function build-out. Beyond the operational scope above, you will contribute to the design and continuous improvement of the<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>programme itself — refining controls, authoring policies and procedures, and partnering with the Process Intelligence team on<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>automation initiatives.<br><br></div>
<div class="ms-outlook-mobile-reference-message skipProofing"><strong>What We Are Looking For<br><br></strong></div>
<div class="ms-outlook-mobile-reference-message skipProofing"><strong>Required experience:</strong></div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • 5 to 8 years of<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>experience within asset management, alternative investments, or financial services</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Direct exposure to fund or investment<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>— conflicts of interest, allocation review, investment guideline monitoring, or similar</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Working knowledge of SEC and FINRA regulations as they apply to investment advisers — either through direct experience in a US-regulated entity or through supporting a US-regulated affiliate from offshore</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Experience with at least one of the following: third-party / vendor risk management, trade surveillance, or access control reviews</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Strong written communication and the discipline to own a periodic reporting cadence with multiple internal and external stakeholders</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Detail orientation combined with the judgment to know when a flag is real versus noise<br><br></div>
<div class="ms-outlook-mobile-reference-message skipProofing"><strong>Strongly preferred:</strong></div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Private equity or private credit<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>experience, including familiarity with fund structures (LP/GP, parallel funds, feeder funds)</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Exposure to Form ADV, Form PF, or equivalent regulatory filings</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Hands-on experience with<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>monitoring or surveillance platforms (NICE Actimize, ACA<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">Compliance</span>Alpha, Bloomberg Vault, Smarsh, Behavox, Hadrius, or similar)</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Involvement in a<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>framework build-out, control redesign, or<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>automation initiative — not just operating an existing programme</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Experience supporting an SEC examination, internal audit of<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span>, or regulator-facing review<br><br></div>
<div class="ms-outlook-mobile-reference-message skipProofing"><strong>Good to have:</strong></div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • CAMS, CRCM, IACCP, or equivalent<span class="Apple-converted-space"> </span><span class="outlook-search-highlight" data-markjs="true">compliance</span><span class="Apple-converted-space"> </span>certification</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Familiarity with GRC platforms</div>
<div class="ms-outlook-mobile-reference-message skipProofing"> • Exposure to ESG, AIFMD, or non-US regulatory regimes for context on how global frameworks intersect</div>
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<p> </p><div class="content-conclusion"><p>Future Standard is a global alternative asset manager serving institutional and private wealth clients, investing across private equity, credit, real estate and infrastructure. With a 30+ year track record of value creation and $94 billion in assets under management, we back the business owners and financial sponsors that drive growth and innovation across the middle market, transforming untapped potential into durable value.</p>
<p>Total AUM estimated as of March 31, 2026.</p>
<p><strong>Future Standard is an Equal Opportunity Employer. </strong></p>
<p><strong>Future Standard does not accept unsolicited resumes from recruiters or search firms. Any resume or referral submitted in the absence of a signed agreement is property of Future Standard and no fee will be paid.</strong></p></div>
Perks & benefits
- Equity Compensation
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