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Investor Relations Specialist (CPA)

Investor Relations Specialist (CPA)

a brown company inc. - recruitment
  • Posted 23 hours ago
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Job Description

A Brown Company, Inc. (ABCI) is looking for a Corporate Governance & SEC Compliance Specialist (CPA) to support the Company's regulatory compliance, corporate governance, SEC reporting, investor relations, and sustainability-related initiatives.

This role provides an excellent opportunity to work closely with senior leadership and gain meaningful exposure to the governance and regulatory environment of a publicly listed company. The position will play an important role in ensuring regulatory compliance, strengthening governance practices, and supporting transparent and responsible corporate reporting.

Key Responsibilities
  • Prepare, review, and facilitate the timely submission of SEC reports, General Information Sheets (GIS), disclosures, and other regulatory requirements.
  • Support the implementation and continuous improvement of corporate governance policies, procedures, and compliance programs.
  • Assist in the preparation of annual reports, sustainability reports, corporate disclosures, and other regulatory and governance documents.
  • Support Board of Directors and Board Committee activities, including preparation and coordination of meeting materials, minutes, resolutions, and other governance documentation.
  • Coordinate investor relations activities, including preparation of presentations, reports, disclosures, and stakeholder communications.
  • Monitor changes in SEC regulations, corporate governance standards, securities regulations, and other applicable regulatory requirements, and assess their impact on the Company.
  • Maintain accurate and up-to-date corporate records, governance documents, regulatory filings, and compliance databases.
  • Coordinate with Finance, Accounting, Legal, Internal Audit, external auditors, regulators, and other stakeholders on compliance, reporting, and governance matters.
  • Prepare management reports, compliance updates, governance reports, and other documentation required by senior management and the Board.
  • Support internal compliance and corporate governance training and communicate relevant regulatory updates to concerned teams.
  • Assist in addressing regulatory, governance, and compliance-related inquiries and ensure appropriate and timely resolution.
  • Contribute to the continuous improvement of corporate governance, regulatory compliance, reporting, and documentation processes.

  • Qualifications
    • Bachelor's Degree in Accountancy.
    • Certified Public Accountant (CPA).
    • At least three (3) years of relevant experience in SEC compliance, corporate governance, audit, financial reporting, corporate finance, regulatory affairs, investor relations, or corporate secretarial functions.
    • Strong understanding of SEC regulations, corporate governance principles, financial reporting standards, and regulatory compliance requirements.
    • Experience in a publicly listed company, audit firm, real estate company, or other regulated industry is an advantage.
    • Strong analytical and problem-solving skills, with the ability to interpret regulatory requirements and assess compliance implications.
    • Excellent written and verbal communication skills, particularly in preparing reports, disclosures, presentations, and formal corporate documents.
    • Strong coordination and stakeholder management skills, with the ability to work effectively with executives, regulators, auditors, and internal teams.
    • High level of attention to detail, integrity, confidentiality, and accountability.
    • Proficient in Microsoft Excel, PowerPoint, Word, and other business reporting tools.
    • Ability to work independently, manage multiple priorities, and meet strict regulatory deadlines.

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    Key Skills