Lead impactful compliance initiatives at a prestigious asset management firm. Enhance your expertise in regulatory compliance and portfolio monitoring. Collaborate with dynamic teams in a fast-paced environment.
 
 Asset Management Compliance Analyst
in Financial Services PermanentJob Detail
Job Description
Overview
- Contribute to the compliance monitoring and testing program for the firm's advisers and funds.
- Perform portfolio and trade surveillance ensuring adherence to client guidelines and regulatory requirements.
- Assist with mutual fund trade restrictions, guidelines, and compliance monitoring activities.
- Support broker-dealer administration, FINRA filings, and Code of Ethics administration.
- Prepare compliance reports and certifications for assigned accounts.
- Interact with portfolio managers in a dynamic trading environment.
- Contribute to Form ADV updates and trade cost analysis reporting.
- Participate in ad hoc projects supporting the Compliance Department's objectives.
Key Responsibilities & Duties
- Conduct transactional, forensic testing, and compliance reviews for adviser and fund portfolios.
- Manage post-trade compliance program at fund administrator and update compliance testing matrices.
- Research and document exceptions, communicating findings to compliance leadership.
- Develop and manage testing in compliance areas including insider trading surveillance and market manipulation.
- Collect, review, and organize information to support test results and suggest new tests.
- Assist in answering sub-advised clients’ DDQs and respond to compliance inquiries.
- Collaborate with internal and external contacts using discretion and good judgment.
- Maintain accuracy and minimize risk while managing high volumes of work under tight deadlines.
Job Requirements
- Bachelor’s Degree in a relevant field is required.
- 0-3 years of experience in compliance or related functions preferred.
- Knowledge of investment adviser and mutual fund industry compliance monitoring and risk management.
- Familiarity with regulatory requirements for the Financial Services industry.
- Proficiency in Microsoft Office and excellent analytical and research skills.
- Ability to manage multiple responsibilities and adapt to changes effectively.
- Strong written and verbal communication skills.
- Experience in team-oriented environments and ability to prioritize workloads.
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