Lead impactful compliance initiatives in a dynamic asset management environment. Collaborate with cross-functional teams to enhance regulatory adherence and operational efficiency. Advance your career in a challenging and rewarding role.
Associate Director, Investment And Trading Compliance
in Financial Services PermanentJob Detail
Job Description
Overview
- Serve as a compliance expert for investment and trading activities within a dynamic asset management environment.
- Collaborate with cross-functional teams including trading desks, legal, and technology departments.
- Ensure adherence to client guidelines, internal policies, and regulatory requirements.
- Perform forensic testing and regulatory reporting for proprietary mutual funds and investment advisers.
- Develop and maintain compliance documentation, policies, and procedural guidelines.
- Support client reporting requests and prepare regulatory filings, including section 13 filings.
- Monitor manual rules for client account restrictions based on risk assessments.
- Identify process improvement opportunities and collaborate with technology teams for implementation.
- Participate in special compliance-related projects to enhance operational efficiency.
Key Responsibilities & Duties
- Evaluate and resolve pre-trade and post-trade compliance alerts autonomously.
- Review daily compliance and trading reports, ensuring accuracy and resolution of discrepancies.
- Prepare and finalize regulatory filings, including foreign ownership disclosures.
- Collaborate with relationship management, compliance, and IT teams for client reporting.
- Maintain and update team documents, including policies and procedural checklists.
- Perform reconciliation projects to ensure system synchronization.
- Monitor manual rules for client account restrictions and ensure compliance.
- Identify and implement process improvements in compliance programs.
- Undertake special projects related to compliance as assigned.
Job Requirements
- Bachelor’s degree in a relevant field with at least 5 years of experience in asset management compliance.
- Solid knowledge of capital markets, including fixed income, equity, and derivatives.
- Understanding of regulatory acts such as the Investment Advisers Act and the Securities Exchange Act.
- Proficiency in Bloomberg and major software applications; SIE & Series 7 preferred.
- Strong analytical, organizational, and time management skills with attention to detail.
- Excellent verbal and written communication skills; ability to work independently and collaboratively.
- Experience with foreign regulations and compliance reporting highly desirable.
- Ability to prioritize multiple requests and meet deadlines in a fast-paced environment.
- Self-starter with initiative and a team-focused mindset.
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