Dinsmore Compliance Services offers a full suite of compliance solutions for the growing financial investment industry, delivering experience where it counts for your business.
Since 2016 Dinsmore Compliance Services has been providing compliance solutions to a wide range of firms in the investment industry, including wealth managers, portfolio managers, ’40 act funds, private funds, hedge funds, municipal advisers, ERISA advisers, TAMPs, and more. An affiliate of the national, full-service law firm Dinsmore & Shohl LLP, DCS specializes in investment advisor compliance. DCS does not provide legal advice, but when needs extend beyond the compliance program, Dinsmore offers a deep bench that can widen the scope for DCS clients to accomplish more with the opportunity to engage attorneys who concentrate in general corporate, M&A, ERISA, employment law, litigation, and public finance matters.
At DCS our greatest asset is our people. With diverse backgrounds and in-depth experience in the field, from top-to-bottom our people are making a difference for our clients every day as we act and serve like members of their team. Meet the people behind the DCS difference.
As a fast growing provider of outsource compliance services and solutions, including full chief compliance officer (CCO) services, consulting, assessments, and more, DCS offers exciting career opportunities in the expanding field of financial advisory and investment industry compliance. If you enjoy working with people in a high touch and high energy team-oriented environment and have a passion for excellence visit our Careers page to find openings and learn more.