As an Associate in the Investment Information Services team, you will be responsible for interpreting guidelines, building investment rules, investigation of potential violations and partnering with the investment manager and/or the client to assess their needs and provide solutions. In your new role, you will be exposed to a wide gamut of financial products, including Equities, Fixed Income securities and Complex Assets.
Job Responsibilities
- Interpret guidelines and investment mandates to develop logic-based rules for effective compliance monitoring.
- Implement client requirements for prospectus and rule changes on the compliance platform, ensuring accuracy and timeliness.
- Conduct meticulous root-cause analysis of investment exceptions, including portfolio holdings, composition, historical transactions, and data verification for compliance.
- Resolve compliance exceptions by communicating with clients, fund managers for true exceptions, and upstream teams for data or coding gaps.
- Prepare and deliver comprehensive manual regulatory and client reports, ensuring accuracy and compliance with standards.
- Stay informed on regulatory developments and industry trends in post-trade compliance, providing insights and strategic recommendations to management.
- Collaborate with clients to review and implement changes in global post-trade monitoring regulations, establishing a standard set of regulatory rules.
- Monitor client mailbox, ensuring all queries are resolved urgently and rule coding requests are routed and addressed within set timelines.
- Interface with Controls, Audit, and Risk teams to review, analyse, and enhance all process-related controls for compliance assurance.
- Participate in client calls to review services and discuss ongoing projects, ensuring alignment with client expectations and requirements.
- Support new client onboarding by providing functional expertise and developing customised compliance solutions tailored to client needs.
Required qualifications, capabilities, and skills
- Hold a graduate or postgraduate degree with at least 8 years of experience in financial services, mutual funds, or stock broking.
- Possess extensive experience in post-trade compliance roles within investment banks, asset management, or brokerage firms.
- Demonstrate proficiency in software applications and systems for post-trade compliance monitoring and reporting.
- Have working knowledge in guideline coding on compliance systems like Charles River, Sentinel, and Aladdin.
- Exhibit strong knowledge of global regulatory requirements affecting post-trade activities.
- Understand complex instruments, fixed income, and equity products in depth.
- Exhibit knowledge of the asset management industry, including mutual, pension, insurance, and hedge funds operations.
- Demonstrate outstanding analytical skills for creating logic-based investment rules.
- Maintain a high standard of accuracy and attention to detail.
- Exhibit excellent organisational skills to prioritise workloads and meet stringent timelines.
- Communicate effectively with internal and external stakeholders, building trusted relationships.
Preferred qualifications, capabilities, and skills
- Advanced degree or professional certification including but not limited to Chartered Accountant (CA), Certified Public Accountant (CPA), Chartered Financial Analyst (CFA), Company Secretary (CS), Financial Risk Manager (FRM) qualifications preferred.
- Experience with automation tools (Alteryx, Artificial Intelligence (AI), Machine Learning (ML), Python, etc.) to create efficiencies will be preferred.
- Certification course in Credit Risk Management (CRD), Sarbanes-Oxley Act (SOX), Investment Company Act of 1940 (1940 Act), European regulations preferred.