Your Role
- Provide real time advisory compliance support, Portfolio Implementation, Trading and Financing staff.
- Research, interpret and advise the firm regarding compliance with investment and trading laws, regulations and guidance applicable across the globe.
- Develop effective portfolio surveillance and monitoring measures to identify/address issues on a "real time" basis
- Creatively and proactively respond to business and regulatory changes
- Build compliance checklists in support of applicable policies and procedures
- Monitor adherence to client guidelines, internal parameters, and statutory requirements.
- Identify, escalate, and assist with resolution of portfolio and trading issues, with an emphasis in process improvement
What You'll Bring
- A MBA with minimum of 3-5 years of related experience
- Strong knowledge of equity and derivative investment strategies
- Strong knowledge of guideline monitoring software, Bloomberg, or a similar Order Management and Compliance Monitoring System is a plus
- Thorough understanding of the markets and willingness to learn new and complex investment methodologies
- Understanding of the Investment Advisers Act of 1940, the Investment Company Act of 1940, and UCIT regulations especially in relation to Alternative Investment Strategies is a plus
- C.F.A. or C.P.A. is a plus
Who You Are
- Intelligent, energetic and goal-oriented with the ability to juggle multiple tasks, meet deadlines and exercise sound judgment.
- Excellent oral and written communication skills; must be able to confidently collaborate with various departments within the firm.
- Well-organized and detail-oriented.
- A self-starter with the ability to follow through and complete tasks in a highly intellectual, collaborative environment.
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