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Chief Risk Officer (CRO)

Chief Risk Officer (CRO)
Organization: iCapital
Location: New York, NY
Date Posted: 07/23/2026

## The Chief Risk Officer (CRO)

The Chief Risk Officer (CRO) is a newly created role, established as part of a formal second line of defense that brings Regulatory & Compliance, Enterprise Risk & Governance, and Safety, Resilience & Incident Management together under one unified risk structure. The successful candidate will be a key member of iCapital’s Performance and Risk Management team, accountable for enterprise‑wide risk management, regulatory compliance, and safety and resilience programs. This leader will oversee the integration of regulatory and compliance functions with a comprehensive enterprise risk management framework, ensuring strong governance, disciplined risk oversight, and regulatory credibility as the business scales globally.

Reporting directly to the Chief Financial Officer, the CRO will partner closely with executive leadership, the Board, and the Board‑level Audit & Risk Management Committee to proactively identify, assess, and manage risk across iCapital’s global platform. This role is critical to iCapital’s continued growth and requires a seasoned executive with deep expertise in alternative investments, complex regulatory environments, and enterprise risk management.

The CRO will oversee the administrative and strategic activities of teams responsible for regulatory compliance, risk management, controls, and resilience, while serving as a trusted advisor to senior leadership.

## Responsibilities

### Regulatory & Compliance Oversight and Execution

**Global Regulatory Strategy:** Oversee regulatory compliance across iCapital’s global footprint, including the U.S., Canada, UK, Europe, and APAC jurisdictions, and support expansion into new regulated markets.
**Alternatives & Structured Products:** Provide leadership on regulatory requirements governing alternative investments, structured investments, annuities, and registered and private fund vehicles.
**Licensing & Registrations:** Oversee regulatory registrations, licensing, exemptions, and ongoing obligations with regulators including the SEC, FINRA, and international authorities.
**Policies & Controls:** Ensure development and maintenance of scalable policies, procedures, training, and controls aligned with regulatory requirements and business strategy.
**Regulatory Engagement:** Lead regulatory examinations, audits, and inquiries, maintaining strong, credible relationships with regulators and external advisors.

### Enterprise Risk & Governance Leadership

**Enterprise Risk Management (ERM):** Design, evolve, and execute iCapital’s enterprise risk management framework, including risk appetite, governance, assessment, and reporting across all business lines and geographies.
**Risk Governance:** Provide oversight through established governance forums, including the Board‑level Audit & Risk Management Committee, Corporate Risk Management Committee, and operational risk working groups.
**Risk Assessment & Monitoring:** Maintain and enhance the enterprise risk register, integrating Risk Control Self‑Assessments (RCSAs), risk appetite metrics, and issue management into a consistent, scalable framework.
**Executive & Board Engagement:** Serve as a primary point of contact for senior management and the Board on risk‑related matters, delivering clear, actionable insights and recommendations.

### Risk Controls, Assurance & Audits

**Controls Framework:** Partner with Finance, Technology, Legal, and Operations to strengthen internal controls, including IT General Controls (ITGCs), ICFR, and operational controls.
**SOC 2 & Assurance:** Oversee SOC 2 audits across business lines, managing auditor relationships, evidence collection, remediation, and ongoing control maturity.
**Technology & Data Risk:** Collaborate with Technology and Security teams to manage platform, data protection, and information security risk in a technology‑enabled business model.

### Safety, Resilience & Incident Management

**Business & Technology Resilience:** Ensure the firm’s ability to continue delivering critical services through disruption by maintaining approved business continuity and disaster recovery plans, validated through regular testing.
**Incident Management:** Oversee a centralized enterprise incident management framework, including escalation protocols, response playbooks, and crisis communications.
**Life Safety & Physical Security:** Provide oversight of physical security, life safety, and emergency preparedness programs across offices, travel, and firm‑sponsored events.

### Leadership & Team Development

**People Leadership:** Lead, mentor, and develop global teams across risk management and compliance functions, fostering a culture of accountability, partnership, and continuous improvement.
**Cross‑Functional Collaboration:** Work closely with Finance, Legal, Technology, Product, and Business leaders to embed risk awareness into decision‑making while enabling growth and innovation.
**Culture of Risk Awareness:** Promote a strong risk and compliance culture that balances commercial objectives with disciplined governance.

## Qualifications

– 15+ years of senior leadership experience in risk management, compliance, or governance within financial services, fintech, asset management, broker‑dealer, or investment advisory environments
– Deep, hands‑on experience with alternative investments, including regulatory treatment, product structure, and distribution considerations
– Proven ownership of regulatory compliance in highly regulated environments, including direct interaction with regulators and responsibility for examinations and audits
– Demonstrated success designing and operating enterprise risk management frameworks in complex, multi‑jurisdictional organizations
– Strong knowledge of U.S. securities regulation (SEC, FINRA, Advisers Act, Investment Company Act, AML/KYC) and familiarity with international frameworks such as AIFMD and MiFID
– Credible, confident leader with the judgment and independence to challenge constructively and advise senior leadership and the Board
– Ability to translate complex regulatory and risk concepts into practical, scalable solutions aligned with business strategy
– Experience leading and scaling specialized global teams
– Bachelor’s degree required; advanced degree (JD, MBA, or equivalent) strongly preferred. Professional certifications (FRM, CRCMP, CFA, CPA, CAMS) a plus

## Benefits

The base salary range for this role is $350,000 to $400,000. iCapital offers a compensation package that includes salary, equity for all full‑time employees, and an annual performance bonus. Employees also receive a comprehensive benefits package that includes an employer‑matched retirement plan, generously subsidized healthcare with 100% employer‑paid dental, vision, telemedicine, and virtual mental health counseling, parental leave, and unlimited paid time off (PTO).

Employees in this role will work in the office Monday–Thursday, with flexibility to work remotely on Friday.

For additional information on iCapital, please visit:
[https://www.icapitalnetwork.com/about-us]
Twitter: @icapitalnetwork
LinkedIn: [https://www.linkedin.com/company/icapital-network-inc]
Awards Disclaimer: [https://www.icapitalnetwork.com/about-us/recognition/]

## Equal Employment Opportunity

iCapital is proud to be an Equal Employment Opportunity and Affirmative Action employer. We do not discriminate based on race, religion, color, national origin, gender, sexual orientation, gender identity, age, status as a protected veteran, status as an individual with a disability, or other applicable legally protected characteristics.

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