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Citi Group Funds Portfolio Compliance Senior Manager 
Singapore, Singapore 
300528943

25.06.2024

Job Description

Post-trade compliance manager is an intermediate level position responsible in the monitoring of the investment and transactional activities of fund managers to ensure compliance with regulatory and client-mandated investment guidelines. You will also ensure that all client reporting are done accurately and on a timely basis. As our fund managers invest in a broad range of instruments, you should have some knowledge in various financial securities products.

Responsibilities

  • Review and maintenance of accurate compliance rules across all fund types, in accordance with Investment guidelines or compliance parameters provided by client / fund manager.
  • Serve as Subject Matter Expert (SME) and provide guidance to resolve problems, escalations, and complex/escalated transactions
  • Ensure accurate and correct interpretation of guidelines and the creation of relevant rules in the compliance monitoring system.
  • Ensure that alerts and / or breaches are monitored daily and follow-up action taken and documented.
  • Updating of Operating Procedures Manual and Operating Memorandums with clients.
  • By adhering to guidelines and checklists, ensure that standard procedures and controls, as set out in the Operating Procedures Manual, are being adhered to.
  • Responsible for ensuring that all the daily / non-daily reporting to clients are met as per requirements.
  • Attend to client queries.
  • Assist Funds Compliance Monitoring Manager in the smooth running of the compliance monitoring function of the department, including adherence to corporate and regulatory policies and requirements.
  • Assist in process improvement initiatives.
  • Assist in training and development of new or inexperienced staff.
  • Assist in user acceptance testing.
  • Working with internal/external parties (for example clients, fund managers, vendors, fund accountants, auditors etc)
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency.

Qualifications/Requirements

  • Degree in Banking / Finance or Accountancy
  • 5 - 8 years experience in the financial industry (fund management / insurance business will be preferred) with relevant experience in post-trade compliance platforms, creating and maintaining rules for purposes of portfolio compliance. Knowledge of the various component feeds to the system (fund accounting data base, third party vendor feeds) will be an added advantage.
  • Strong working knowledge of investment guidelines, securities ratings and industry classification, benchmark indexes, etc.
  • Demonstrating a high level of accuracy and attention to detail.
  • Ability to write macros and rule logic, knowledge of SQL and data mapping will be a plus.
  • Computer literate with good working knowledge of Excel & macros. Preferably with working knowledge of SQL and data mapping.
  • Able to interpret legal clauses and paraphrase into simple and clear requirements.
  • Service-oriented and client focused. A team player with strong oral, written and interpersonal communication skills.
  • Willing to work on Singapore public holidays and Morning / Evening Shifts.
Operations - Transaction ServicesFund Accounting


Time Type:

Full time

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