The work environment for compliance professionals can be challenging and stressful. They must keep up to date with increasingly strict and complex regulatory systems, and they can be held accountable by PE firm management and government officials when regulatory infractions occur. At large firms, compliance officers may be assisted by a small staff. At small firms, there may be only one compliance professional to handle a wide variety of compliance issues.
- Investment Underwriters
- Private Equity Accountants and Auditors
- Private Equity Business Development Directors
- Private Equity Chief Dealmakers
- Private Equity Financial Managers
- Private Equity Investor Relations Specialists
- Private Equity Lawyers
- Private Equity Marketing Specialists
- Private Equity Research Analysts and Associates
- Private Equity Risk Managers