SECTION I · THE BRIEF
Brief #43049Updated 24 SEP 2026SAN FRANCISCO, CALeverB2B SOFTWARE AND SERVICES
Employbl Company Profile

Chief Compliance Officer, Meridian Platform Securities

Where the world meets startups

Location
San Francisco, CA
Company size
200–1,000
Posted
6d ago
Via
Lever
Section II · Full ProfileFree with an account
  • 01Comp band & equity packageLocked
  • 02Seniority & experience requirementsLocked
  • 03Interview process & rubricLocked
  • 04Hiring manager & team contextLocked
  • 05Growth trajectory in this roleLocked
  • 06Offer & decision timelineLocked

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Chief Compliance Officer, Meridian Platform Securities

AngelList· San Francisco, CAView company profile


Job title
Chief Compliance Officer, Meridian Platform Securities
Job location
San Francisco, CA
Job description

About AngelList

Private markets are the new public markets. The most important companies of this era are private, and almost no one can own them. What's missing is the financial system public markets spent a century building: exchanges, custodians, brokers, and ways for ordinary people to buy in. Private markets, now $28T, never had the equivalent. AngelList is building it.

The last decade of structural innovation in venture happened here: syndicates, SPVs at scale, Rolling Funds, scout programs. Today we have $200B+ in assets and 30,000+ startups funded on our platform. The rest of private markets is next. Funds is the software and services behind private funds, Nova is the banking network, Meridian is the wealth platform for accredited investors, and USVC is the brand behind a registered fund that lets anyone invest in venture.

Working here means an unusual amount of agency on a problem that matters. Titles are closer to suggestions, and there are about 200 of us building what private markets never had. Come build it with us.


About the Role:

Meridian Platform Securities LLC is a registered broker-dealer and placement agent built for the modern private markets. We work with fund managers, sponsors, and issuers to connect capital with opportunity, with the rigor, structure, and integrity that investors demand. Compliance is not an afterthought here. It is core infrastructure, and we are looking for a CCO who sees it that way too.

You will own compliance end to end. That means building and maintaining the regulatory framework that lets us grow confidently rather than reactively, serving as our Series 24 principal, and holding the primary relationship with FINRA, the SEC, and applicable state regulators. You will be a trusted partner to leadership and a strategic resource for the deal team. You will be our first in-house CCO, standing the program up and taking it over from a vendor handoff already in motion.

You'll be in the room when deals and new products take shape, so compliance moves at the same speed as the deal team, finding the creative compliant path to “yes” on deal timelines. The program you build will scale with the firm. You'll start with a lean team and a live exam already underway.

Responsibilities
  • Serve as the firm's designated CCO under FINRA Rule 3130, own the Written Supervisory Procedures,
  • Be the deal team's compliance partner: review and clear diligence, marketing materials, private placement memoranda, and investor communications, and pressure-test new product structures so they are built compliantly from day one, on deal timelines.
  • Manage FINRA and SEC examinations, inquiries, and correspondence from first notice through resolution, and run the annual compliance review with findings to senior management.
  • Own registration and licensing across jurisdictions (principals, registered reps, state blue sky), maintain books and records under SEC Rules 17a-3 and 17a-4, and manage outside counsel on regulatory matters.
  • Administer the firm's AML/BSA program, and monitor FINRA, SEC, FinCEN, and state developments, translating them into policy before they become problems.
  • You may be a good fit if you
  • Hold an active Series 24 in good standing and have 7+ years of compliance experience at a FINRA-registered broker-dealer, including 3+ years in a senior or lead compliance role (ideally an online BD or fintech).
  • Know private placements, Regulation D, secondaries, and the mechanics of how placement agents operate.
  • Have managed FINRA cycle exams and regulatory inquiries yourself, not just supported them.
  • Want to be the first in-house compliance hire and build the program from early stages.
  • Bonus: Experience with SPVs, fund administration, syndication platforms, or exempt offering structures.
  • View job listing ↗
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