Investment Compliance Resume Samples

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FS
F Senger
Ford
Senger
538 Fabiola Garden
Chicago
IL
+1 (555) 145 8615
538 Fabiola Garden
Chicago
IL
Phone
p +1 (555) 145 8615
Experience Experience
Boston, MA
Investment Compliance Officer
Boston, MA
Satterfield LLC
Boston, MA
Investment Compliance Officer
  • Providing metrics to management on a regular basis
  • Undertake and provide compliance guidance to business projects and working parties in relation to new products and initiatives
  • Provide guidance and approvals for Financial Promotions, working alongside the Belfast Compliance Team
  • Works collaboratively with Legal Investment Compliance in Baltimore and Hong Kong and assists where necessary, including public holiday cover
  • Assisting with management of regulatory inspection visits
  • Report findings to management and follow-up on management responsesof the branch reviews in a accurate and concise
  • Assists in administering the code of ethics and other compliance policies
Phoenix, AZ
Investment Compliance Analyst
Phoenix, AZ
Jaskolski, Howell and Spencer
Phoenix, AZ
Investment Compliance Analyst
  • Contacting Portfolio Managers for missing documentation
  • Maintain Compliance Risk Management program elements, such as inventory of laws and documentation of compliance controls
  • Cooperate with internal and external audit and operational risk management
  • Take part in the development of new products and services
  • Guarantee the escalation of problems to head of department / local management
  • Assist with the sub-adviser due diligence process
  • Assist in the maintenance and quality assurance of the investment compliance processes
present
Dallas, TX
Investment Compliance Manager
Dallas, TX
Morissette, Nolan and Mraz
present
Dallas, TX
Investment Compliance Manager
present
  • Filing returns and disclosures to regulators for investments
  • Act as key manager, assisting in the management of the day to day to day affairs of the Investment Management Compliance function of the firm
  • Assist with the ongoing maintenance of the adviser’s compliance program, including updates to the policies and procedures
  • Conduct periodic account reviews to assess efficiency and effectiveness of investment guideline monitoring and validate analysis with investment management personnel
  • Keep current on laws and regulations, particularly those promulgated by SEC (and other regulators and SROs such as the CFTC and NFA) which may affect the investment adviser, commodity pool operator and mutual funds
  • Provide secondary reviews of compliance violations and compliance training to staff including alert resolutions, workflow processes and regulatory updates
  • Conduct detailed testing and analysis of rules in order management systems to validate accuracy and effectiveness
Education Education
Bachelor’s Degree in Business
Bachelor’s Degree in Business
East Carolina University
Bachelor’s Degree in Business
Skills Skills
  • Great communication (verbal and written), attention to detail (accuracy), ability to multi-task and prioritize work, time management and organization skills
  • Proven ability to deliver strong outcomes with a solution focused approach to work
  • A solid understanding of both Charles River and BRS Aladdin's compliance monitoring functionality along with direct experience in using the systems in an investment management / funds administration environment
  • Good knowledge domestic as well as international markets across all asset classes
  • Ability to clearly communicate complex matters to various levels of management
  • Ability to work and perform independently as part of a global team
  • Excellent analytical, problem-solving and incident management skills
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15 Investment Compliance resume templates

1

Investment Compliance Officer Resume Examples & Samples

  • To support the UKC/IPB Investments Compliance Head to manage the investments compliance risk within the IPB and UK Retail business
  • To provide update/escalations to the UKC/IPB Investments Compliance Head for key governance forums, with high focus on conduct risk and customer outcomes
  • Support the UKC/IPB Investments Compliance Head and the business on the implementation of new regulations and Citi policies relating to the IPB and UK Retail Investments business and for communicating changes to the business
  • For CASS related activities support the coordination of compliance activities for both businesses Monitor adherence to relevant regulations, policies and procedures and report any breaches to the UKC/IPB Investments Compliance Head. Monitor that appropriate remedial action is taken in respect of any identified breaches
  • Provide regulatory guidance and support to the IPB and UK Retail investment business on a day to day basis
  • Provide approval for investment related policies and procedures that have compliance related risks
  • Undertake and provide compliance guidance to business projects and working parties in relation to new products and initiatives
  • Monitor appropriate compliance risk areas in the business and initiate any corrective actions to minimise scope for future breaches
  • Provide guidance and approvals for Financial Promotions, working alongside the Belfast Compliance Team
  • Experience in a UK compliance or regulatory role preferred
  • Understanding of retail wealth management products, particularly investments products. It would be preferred if role holder has a proficient knowledge in some of the following products
2

Investment Compliance Analyst Resume Examples & Samples

  • Review of compliance policies and procedures, quarterly certifications, and due diligence questionnaire responses to determine adequacy
  • Maintain Compliance Risk Management program elements, such as inventory of laws and documentation of compliance controls
  • Conduct quarterly risk assessment of control environment and help prepare Quarterly Board materials
  • Organize and maintain materials to be reported to boards for annual contract renewal process
  • Assist with the sub-adviser due diligence process
  • Assist with sub-adviser specific requests and questions
  • Keep updated on relevant SEC developments and industry best practices
  • Bachelor’s degree required; advanced degree (MBA or JD) preferred
  • Excellent knowledge of investment strategies and operations
  • Excellent interpersonal skills and strong leadership skills
  • 5 to 10 years of mutual fund and investment adviser regulatory compliance experience (primarily with respect to the Investment Company and Investment Advisers Acts of 1940), with the ability to read/interpret complex subjects including applicable regulations
  • Experience with SEC Rules 38a-1 and 206(4)-7 strongly preferred
  • Proven project management and negotiation skills
  • Former regulatory experience a strong plus
3

Regional Investment Compliance Officer Resume Examples & Samples

  • Ensure consistent application and interpretation of local, regional and global Citi investment policies and standards throughout the EMEA Region. Provide oversight of the EMEA Investment Compliance function across the region
  • Providing review and approval of product governance and approval processes, approving new products, regional sales and marketing materials including but not limited to; new product documentation, regional marketing templates, client presentations/pitches, investment proposals, client events/invitations, as necessary
  • A key focus of the role is keeping up-to-date with the ongoing significant regulatory change across the region. The role holder will have responsibility for reviewing US/EU/UK and Regional/Local regulatory change across the investment, conduct impact analysis and provide clear regulatory advice on changes required to the Businesses’ processes
  • Advise the businesses on areas of conduct risk relating to the distribution of investment products as applicable to EMEA Consumer Compliance
  • Collate and analyze MIS including KPIs, Complaint trending, Sales surveillance trending and conduct root cause analysis in consultation with relevant regional & country business and compliance colleagues. Provide data and information to the regional investment governance committees. Review investment surveillance metrics, identify areas of concern and escalate to regional management
  • Support the Compliance testing team during investment product related reviews either regionally or locally
  • Through the above and local business consultation, including on-site business visits where required, conduct continuous evaluation of investment sales practices across the EMEA Region, conducting risk assessments and escalating to management
  • Prepare for and support EMEA Senior Product Compliance management in the Regional Investment Supervisory Committee to assist in the analysis of proposed new products, structures and channels
  • Assist senior compliance management in developing training materials and presentations for use by Compliance, Product and Operations staff throughout the region
  • Ensure that EMEA Compliance standards, procedures and intranet pages are up to date and in line with a rapidly changing regulatory environment
  • Monitor ongoing effectiveness of regional processes, through various monitoring initiatives
  • Perform gap analysis of regulatory enforcement actions, experienced by other retail and wealth management firms, against the Consumer bank processes across the EMEA region and track corrective action plans, as necessary
  • Work with global compliance stakeholders on compliance projects and initiatives, as directed. Undertake ad-hoc reviews, projects or investigations as required
  • Working closely with key Regional stakeholders, including the WM senior management, Legal, Compliance, IPR, Operational Risk and Internal Audit to effectively manage compliance risk emanating from distribution of wealth management products within the organisation
4

Investment Compliance Officer Resume Examples & Samples

  • The incumbent will support the Chief Compliance Officer in administering a compliance program designed to comply with the requirements of the Investment Advisers Act of 1940
  • Assists in preparing regulatory filings and other formal documents
  • Prepares or assists with the preparation of various compliance reports to internal and external constituents
  • Assists in administering the code of ethics and other compliance policies
  • Assists in the administration of marketing and advertising reviews
  • Performs research, prepares appropriate documentation, and responds to compliance inquiries
  • Assists in maintaining records and compiling information requests in support of AUIM’s compliance program
  • Prior experience administering or supporting a compliance or similar type program
  • 3 years of relevant compliance experience
5

Investment Compliance Resume Examples & Samples

  • Be responsible for the daily monitoring of equities funds, portfolio trading in Asia and Europe
  • Oversee the Equities Trading activities in Hong Kong
  • Assist in submission of regulatory reports, registration and deregistration
  • Provide compliance advisory to the portfolio managers, traders and research analysts
  • Assist team head in handling any other general compliance matters
  • Have at least 3-7 years of relevant experience in the compliance function
  • Be knowledgeable with Equities products
  • Have good knowledge on SFC regulations
  • Be a self starter and a team player
  • Be proficient in English (near native level) is a MUST
  • Have excellent communication skills
6

CIB Investor Services Trustee Manager Investment Compliance Restrictions Specialist Associate Resume Examples & Samples

  • Academic background: a degree in Finance would be an advantage
  • Experience working in similar position and notably fund’s investment restriction checks (preferably Luxembourg)
  • Good knowledge of main EU Directives and Luxembourg fund regulations
  • Experience in UCITS and alternative funds’ investment restrictions
  • Strong analytical and organisation skills, independent and pro-active, motivated to learn
  • Ability to work as a team member and ensure a high service quality level focused on client
  • Written and spoken English is required; French and/or German an advantage
7

Investment Compliance Officer Resume Examples & Samples

  • Review and approval of global and regional investment products; including capital markets, funds, and managed investments
  • Review and approve TIP and Termsheet documentation
  • Approval of client facing marketing materials client presentations/pitches, investment proposals general capabilities decks and client events/invitations
  • Providing Compliance Approval for promotions of unregulated products to retail clients
  • Maintain the financial promotions/marketing material disclaimers
  • Supporting the Business in streamlining financial promotions and marketing material reviews
  • Providing metrics to management on a regular basis
  • Close liaison and interaction with global Compliance colleagues in Asia and the US
8

Investment Compliance Analyst Resume Examples & Samples

  • Daily investment compliance monitoring of limits, restrictions & investment guidelines across all asset classes servicing AMPC front office teams across the globe
  • Breach reporting, rectification and resolution
  • Real time engagement with front office to efficiently and accurately resolve Pre-Trade compliance issues
  • Change management responsibilities including new setups and changes to existing involving interpretation, quantifying, coding and testing across Charles River and BRS Aladdin systems
  • Working closely with IT to leverage resources and tools available to tailor solutions for compliance monitoring requirements
  • Enterprise and client reporting
  • Participation in ad-hoc projects
  • Excellent analytical, problem-solving and incident management skills
  • Advance level experience in Excel is a must, intermediate experience in coding/VBA skills
  • University degree in Finance or commerce
  • Ability to clearly communicate complex matters to various levels of management
  • A minimum of 5 years of solid experience in the funds management industry with a strong focus on investment compliance
  • Proven ability to deliver strong outcomes with a solution focused approach to work
  • Ability to work and perform independently as part of a global team
9

Consultant, Investment Compliance Resume Examples & Samples

  • Train clients on the use of the compliance system
  • Review all triggered messages from compliance system notifying
  • Minimum of 5 to 7 years of investment related experience
  • Advanced Excel experience is highly preferred
  • Experience with Charles River or similar compliance monitoring systems is highly preferred
10

Investment Compliance Officer Resume Examples & Samples

  • Serve as the key point of contact both internally and externally for all portfolio management related queries with regards to local regulatory requirements and restrictions (eg SFC requirements). In addition, internally provide training across the Company on such matters
  • Provide investment oversight for the consulting and investment management business in HK
  • Serve as the first point of contact for investment management on pre trade issues and queries
  • Review, research and close pre trade alerts (including overriding alerts)
  • Manage any regulatory relationship and matters to ensure that implentation of new regulations, filings and licensing are executed properly
  • Support any ad hoc and special projects related to the enhancement of compliance framework and regulatory environment
  • Have at least 4-6 years of relevent experience in the investment management space
  • Be knowledge on HK SFC regulations
  • Be proficient in English and Mandarin
  • Have good understanding of investment management or funds business in HK
11

Consultant, Investment Compliance Resume Examples & Samples

  • Trains clients on the use of the compliance system
  • Develops custom reporting solutions for clients using automated system
  • Assesses and recommends changes and/or enhancements to improve efficiency and effectiveness of processes
  • Works with team of investment compliance and risk professionals to contribute to the firm’s committee and governance structure
12

Investment Compliance Manager Resume Examples & Samples

  • Review and validate pre-trade overrides and alerts, post-trade warnings & potential breaches in trade order management systems and monitor other reports
  • Provide advice and guidance to investment personnel on investment guideline rules and regulatory requirements governing investments (including portfolio managers, research analysts, traders and assistants) – in person, hotline and email support
  • Escalate issues and resolve with key stakeholders such as Portfolio Managers, Business Executives and Operations
  • Provide training to Investment Teams on new accounts and funds
  • Conduct detailed testing and analysis of rules in order management systems to validate accuracy and effectiveness
  • Identify data requirements needed for investment compliance monitoring
  • Assist with the development of automated rules to monitor for compliance with investment guidelines and restrictions
  • Provide secondary reviews of compliance violations and compliance training to staff including alert resolutions, workflow processes and regulatory updates
  • Assist with the ongoing maintenance of the adviser’s compliance program, including updates to the policies and procedures
  • 5+ years experience in the Financial Services industry, with proven success in compliance functions, or legal or audit background
  • Experience in a compliance related function supporting Asset Management
  • General knowledge of Investment Company and Investment Advisor operations, including applicable securities laws
  • Detail-oriented, strong analytical and organizational skills
  • Ability to work independently, as well as, within a team or across the organization
  • Demonstrated initiative and ability to bring assignments to full closure
  • Experience with Aladdin, LineData, Charles River, Latentzero, and other compliance systems is a plus
13

Team Lead, Investment Compliance & Control Resume Examples & Samples

  • Perform on-boarding due diligence for any new ManCo delegates (IM, Distributors, KIID production)
  • Coordinate and perform (if required) on-going (yearly/ quarterly) due diligence reviews for all ManCo delegates
  • 2nd review of documents issued for on-going reviews (yearly/ quarterly)
  • Run the Risk-Based approach assessment for any new delegates and review the allocated Risk on regular basis for existing delegates
  • Coordinate/ Validate the daily monitoring of the KIIDs for ManCo Clients (new and existing)
  • Coordinate/ Validate the year end KIIDs review for ManCo ClientsOrganisation of the day to day Oversight activities
  • Implementation of new regulatory changes that affect ManCo oversight activity
  • Review and maintenance of the Oversight Procedures
  • Completion of monthly KPIs and present them to the Senior Management when required
  • Preparation of the Clients Communication including reports for the Funds’ Governing Bodies
  • Comment on LFR Reports received for ManCo Clients from auditors etc
  • Be the main point of contact for internal or external audit
  • Fulfil additional, relevant, appropriate tasks to the role
  • Report on a regular basis and raise issues to the Compliance Manager
  • Graduate in law , economics or finance is preferred
  • Good knowledge of Funds Industry
  • English : spoken, written is Mandatory
  • Any other language is an advantage
  • Effective verbal reasoning
  • Ability to work on own initiative
  • Dynamic and flexible
14

Investment Compliance Analyst Resume Examples & Samples

  • Bachelor degree or equivalent work experience plus 2+ years related work experience
  • Bachelor’s degree required and preference in one of the following: finance, pre-law, business, or related field required
  • A minimum of 2-4 years’ experience in relevant industry such as Investment Management
  • Compliance experience with a broker dealer, major insurance company, banking institution, or regulatory agency preferable
  • Experience with a firm serving both affiliated insurance companies and non-affiliated institutional clients a plus
15

Investment Compliance Analyst Resume Examples & Samples

  • Perform daily investment compliance and monitoring of the trading activities of MIM's portfolios in an accurate and efficient manner
  • Assist in investigating investment guideline breaches and ensuring the appropriate actions are taken to resolve breaches
  • Assist in the set up of limit guidelines in Dimension and thinkFolio for new funds and portfolios
  • Conduct ad-hoc risk reviews
  • Assist in the maintenance and quality assurance of the investment compliance processes
  • Regular contact with the Investment Teams and Dealing teams to resolve limit breaches is a crucial aspect of the role
16

Investment Compliance Manager Resume Examples & Samples

  • Conduct trade compliance monitoring
  • Ensure the compliance of regulatory requirements for investments
  • Filing returns and disclosures to regulators for investments
  • Handle regulatory requests/ inquiries
  • Monitor existing investment portfolio risk exposure
  • Conduct company secretary duties for the direct investments
17

Investment Compliance Analyst Resume Examples & Samples

  • Analyse and document all the reported investment compliance exceptions
  • Identify and qualify investment compliance breach including the origin of the incident
  • Perform NAV reviews and audit certifications
  • Participate to internal reporting activities to measure the quality of Depotbank operations
  • Guarantee the escalation of problems to head of department / local management
  • Comply with regulatory requirements and internal guidelines
  • Cooperate with internal and external audit and operational risk management
  • Complete the “monthly business checklist” and deliver it on time
  • University degree (Finance, Economics, Law) or equivalent professional experience
  • Good knowledge of the investment funds industry and securities market
  • Minimum 1 year of experience in the investment fund industry (for example on a position of a Fund Accountant)
  • Fluency in English language is mandatory
  • Knowledge of German or French will be considering as a strong advantage
  • Good knowledge of PC applications (Word, Excel, PowerPoint) and knowledge of financial applications (Bloomberg, etc.) would be considered as an advantage
  • Outstanding analytical and problem solving skills
  • Highly accurate, dedicated to quality and stress resilient
18

Associate Director, Investment Compliance Resume Examples & Samples

  • Define project scope for the region
  • Assist in defining project requirements from compliance perspective
  • Assist in defining the standard user settings
  • Analyze the system flow which relates to compliance
  • Coordinate with global team to set a global standard in term of investment compliance, in particular, to develop an automated and scalable solution, and to minimize manual process to mitigate operational risk
  • Oversee the system implementation for the region
  • Coordinate and develop a solution for centralized dealing in Asia
  • Assist in other compliance tasks as assigned from time to time
  • Understanding of front office trading system
  • Analytical/Audit/Law/Compliance background; preferably with accounting / finance / legal designation
  • Approximately 10 years of Compliance experience with asset management companies / financial intermediaries or regulator
  • Ability to demonstrate a high degree of initiative and a strong commitment to meeting deadlines
19

Director, Investment Compliance Resume Examples & Samples

  • Assist the Director with the implementation of enhancements to the software system
  • Liaise with Legal and senior management team to resolve APs’ policy related problems
  • Participate in the development, documenting and updating of the Code of Ethics monitoring desktop procedures
  • Assist with Ethics Hotline investigations
  • A minimum of a Bachelor Degree (in finance, accounting, business or law) is required
  • 6-8 years of working experience, with at least last 4 years in compliance, legal, audit or regulatory field
  • The candidate should be self-confident, energetic, have an inquisitive mind, and be controls conscious
  • Excellent project management, organizational and analytical skills
  • Demonstrated ability to independently manage a diverse and demanding workload; effective decision-making and prioritization of workflow skills
  • Self-motivated and able to work within tight deadlines
20

Investment Compliance Analyst Resume Examples & Samples

  • Great communication (verbal and written), attention to detail (accuracy), ability to multi-task and prioritize work, time management and organization skills
  • Analytical skills are also required to review and resolve exceptions
  • A general understanding and knowledge of Trust and Custody services for Wealth Management clients is preferred
  • Proficient in Trust Servicing, Northern Imaging/V-Space, Passport, Microsoft Excel, Word & PowerPoint are strongly preferred
  • A College/University degree is required
  • At least 2+ years of financial trust and custody services, investments, security industry or other related client servicing experience preferred but not required for consideration
21

Investment Compliance Officer Resume Examples & Samples

  • Design, implement and enhance company's Compliance Program whilst ensuring its alignment with business objectives and Group Investment Compliance's strategic directions
  • Work with key business stakeholders to implement an effective compliance risk assessment program
  • Responsible for development of relevant investment compliance procedures according to regulatory Group Investment Compiance's requirements
  • Responsible for the effective communication of compliance matters in investment area including timely and accurate reporting and/or escalation of such matters in accordance with relevant reporting and escalation protocols
22

Investment Compliance Manager Resume Examples & Samples

  • Act as key manager, assisting in the management of the day to day to day affairs of the Investment Management Compliance function of the firm
  • Commensurate with experience, potentially be responsible for the management of other Compliance team members
  • Manage, and continually enhance, a monitoring and testing program and perform testing of various controls in accordance with the Rule 38a-1 and 206(4)-7 and CPO Compliance Programs, report results and provide any recommendations
  • Prepare certain Fund and Adviser Board and governance materials, including the production of annual review reports for the Boards of the registered investment adviser, and mutual funds, and other reporting as needed
  • Assist with annual due diligence of mutual funds’ service providers including sub-advisers, fund administrators, transfer agents, distributors
  • Keep current on laws and regulations, particularly those promulgated by SEC (and other regulators and SROs such as the CFTC and NFA) which may affect the investment adviser, commodity pool operator and mutual funds
  • Assist in the maintenance of compliance policies and procedures, and provide compliance guidance to staff in the Investment Management Department
  • Assist Compliance and Operations staff with regulatory filings (e.g., Form ADV, Form PF, 7R, 8R, PQR etc.)
  • Assist with development and delivery of training for investment staff
  • Perform other investment compliance related duties, as assigned
  • Bachelor’s degree required, other degrees, certifications experience and training, a plus
23

Fiduciary Investment Compliance Specialist Resume Examples & Samples

  • 3-5 years' experience in financial services
  • Legal Background or Law degree preferred
  • Some knowledge of investments and/or fiduciary law a plus
24

Investment Compliance Specialist Resume Examples & Samples

  • College degree from an accredited institution or equivalent work experience
  • 5-7 years of business experience with two years of securities related experience and familiarity with accounting principles
  • Must be analytical, detail oriented, organized. Must be able to meet deadlines and handle multiple priorities
  • Maintains or will obtain FINRA Series 7, 63, 24, 65 registrations, as well as State of Hawaii Life and Accident and Health Insurance Licenses
25

Investment Compliance Senior Manager Resume Examples & Samples

  • Be a key Investment Compliance liaison for investment management functions across the Asia Pacific region, particularly portfolio managers, traders and corporate finance teams, for providing advice, guidance and compliance support on various day to day matters
  • Actively support development, review and implementation of changes to policies and procedures related to investment management functions to ensure compliance with applicable regulations. You may also be required to coordinate regionally / globally and support implementation of internal policies and procedures applicable to the investment management functions
  • Keep abreast of, monitor, and analyze regulatory trends and changes in various rules and regulations impacting the investment management functions and work closely in advising the management team, including internal stakeholders, of the impact of such trends and changes
  • To collaborate and partner with legal, local compliance and other oversight teams across the region / globally to represent the investment compliance function on various regulatory and policy related discussions
  • Collaborate actively with investment compliance team members and colleagues from other departments to provide compliance and regulatory advice and support for development of any new investment product, business initiatives and any regional / global projects as may be required from time to time
  • Provide support on various regulatory inquiries, particularly related to the investment management activities
  • Contribute to the development of compliance training programmes across the investment management function
  • Provide a high quality timely service to various internal stakeholders
  • Actively participate in relevant investment and compliance projects and range of other FIL-wide projects or tasks as may be required from time to time
26

Investment Compliance Officer Resume Examples & Samples

  • Completion of branch reviews to ensure that branch activies are conducted according to firm policies and regulatory requirements
  • Report findings to management and follow-up on management responsesof the branch reviews in a accurate and concise
  • Compliance monitoring and reporting of findings
  • Keeps stakeholders informed of work in progress
  • Must be willing to travel on occasions primarily in Alabama and Florida; possibly throughout the footprint. Travel is expected to be 20 - 25% per year
  • Position can be located in Birmingham, Alabama, Houston, Texas, or Dallas, Texas
27

Head of Investment Compliance Resume Examples & Samples

  • Manage the Europe Investment Compliance team so that they provide an effective advisory and assurance function covering all Front Office activities
  • Lead and coordinate the regulatory oversight and support, including technical advice, provided by Europe Investment Compliance to the business, primarily the Front Office
  • Enhance the profile and visibility of the Europe Investment Compliance function, developing the role of business partner and trusted advisor
  • Set priorities and goals for the Europe Investment Compliance function in the context of global team and corporate priorities; lead and manage resources effectively so that deliverables are met
  • Work in partnership with the Front office and senior management to resolve regulatory issues
  • Participate as a key member of the team in the implementation of regulatory developments and consultations (e.g. MiFID II)
  • Act as the central point of contact for investment compliance matters across the Europe business
  • Sponsor/manage projects with relevance to the Europe Investment Compliance function
  • Oversee the preparation and collation of management information and reports, including board reports
  • Develop and maintain effective relationships with internal and external stakeholders (e.g. regulators, external auditors, depositaries/trustees, etc.)
  • Participate fully in global and regional oversight committees, and other relevant forums and day-to-day interaction with staff
  • In collaboration with the global and regional Heads of Investment Compliance, promote cross-region coordination of global policies and procedures and the implementation of best practice
28

Investment Compliance Officer Resume Examples & Samples

  • Reviewing compliance exceptions in a timely manner/within established deadline, providing subject matter expertise and communicating critical information to investment personnel
  • Assisting investment personnel with questions, issues and requests related to investment and operational restrictions applicable at the portfolio and/or firm wide level
  • Making critical, time-sensitive decisions to advance the trading process while also protecting the integrity of the investment compliance monitoring program
  • Developing a proficient understanding of the investment compliance systems, Charles River, other in house systems and JPM Trac and posting compliance rules additions/modifications to the compliance systems as required
  • Routinely discussing issues with the trading desk to ensure service levels and to develop, negotiate and implement process improvements designed to improve the overall trading/compliance process
  • Responding to and helping to resolve trading issues and provide interpretive guidance on the trading manual matters as well as investment and operational restrictions
  • Works collaboratively with Legal Investment Compliance in Baltimore and Hong Kong and assists where necessary, including public holiday cover
  • Providing Investment Personnel with investment guidelines or prospectus language interpretation, giving advice on pre-trade and post-trade guideline questions and providing appropriate resolution to actual or potential violations. Involved in the process from initial identification of issue to resolution
  • Taking primary lead on EMEA Investment Compliance review of new account guidelines as part of the client take on process to determine applicable compliance restrictions with a view to coding CRD
  • Takes responsibility for interpreting client rules and coding new accounts in to CRD for the EMEA region, and updating rules and coding on an ad-hoc basis
  • Assists in researching IPOs, private placements and corporate actions and providing interpretive guidance on selling and transfer restrictions as they relate to the firm’s global client base; including safe harbours from US Securities law and relevant laws/regulations in other jurisdictions
  • Works with Compliance Managers to develop and enhance procedures for the business to ensure compliance with regulatory or market developments. Documenting and administering procedures as required
29

Consultant, Investment Compliance Resume Examples & Samples

  • A College or University degree and/or relevant work experience
  • Minimum of 3 years of professional experience
  • Excellent organizational and project management skills
  • Analytical and problem-solving skills
  • Knowledge of mutual fund operations
  • Ability to work independently and part of collaborative groups
  • Ability to interact appropriately with clients and management of all levels
  • Familiarity with post-trade compliance processes and systems, especially Charles River, is preferred
  • Knowledge of the Investment Company Act of 1940, as amended, is preferred
  • Ability to work independently to learn regulations is required upon hire
30

Investment Compliance Officer Resume Examples & Samples

  • Ensures that the appropriate principles of management and control are observed in the implementation of policies and procedures. These principles include separation of functions, clear assignment of responsibilities, measuring results against standards and reporting outcomes
  • Ensures that quality control (transactional) testing is conducted as appropriate to detect deviations of actual transactions from policies or standards and that the results of such tests are included, and other management reports are properly addressed, escalated when necessary, and resolved by the responsible business people
  • Ensures that there is timely and appropriate review of material and repetitive compliance issues as indicators of possible gaps and weaknesses in policies and procedures or risk identification processes, and facilitates the use of such information in keeping IMD's compliance program up-to-date
  • Addresses the risk of fraud and undertakes periodic analyses and evaluations of compliance issues together with the results of appropriate forensic testing conducted by IMD Compliance staff as a means of obtaining additional or corroborating evidence regarding both the effective functions of IMD's compliance program and the possible existence of disguised or undetected compliance issues
  • Ensures that all persons within IMD holding compliance responsibilities are competently and fully performing those functions
  • Ensures that IMD Staff are appropriately trained in compliance and ethics-related matters. A key component of this is IMD's annual ethics training program
  • Serves as Audit Focal Point for the Board of Auditors and the Office of Internal Oversight Services, facilitating and coordinating the activities of such examinations including the resolution of findings and observations
  • Provides general oversight and coordination of IMD's Business Continuity and Disaster Recovery plans. Develops, maintains and tests IMD's Business Continuity Program to identify, document and assess business needs against IMD's infrastructure, and to identify recovery strategies and gaps
  • Ensures that IMD's basic responsibilities as a signatory to the UN-endorsed Principles for Responsible Investment (PRI) initiative are met, to include completion of the PRI annual survey and participation or direction in PRI activities
  • Ensures oversight and maintenance of IMD's proxy voting services to ensure that they are timely and accurate
31

AVP, Investment Compliance Resume Examples & Samples

  • Compliance Department Program
  • Post secondary education
  • Successful completion of industry courses including derivatives courses
  • Ten years of experience required in the mutual fund, asset management or securities industry
  • Five years people management experience
  • Five years of experience in a compliance function
  • Prior extensive experience in the management of investment compliance related activities, and deep knowledge of investment asset classes (equity, fixed income, alternatives and derivatives)
  • Excellent interpersonal, proactive engagement, people management and organizational skills
  • Ability to present complex technical information clearly and accurately
  • Ability to persuade others to a point of view
  • In depth knowledge of Canadian securities laws and regulations, including derivatives trading rules; knowledge of US and international regulatory environment
  • Knowledge of industry practices
  • Ability to identify compliance issues
  • Ability to assess compliance risk to prioritize problems
  • Strategic thinker
  • Relationship builder
  • Ability to cooperate in a team environment and work independently
  • Demonstrate flexibility, enthusiasm and a willingness to learn
32

Investment Compliance Consultant Resume Examples & Samples

  • Act as subject matter expert for NT’s Compliance Product offering
  • Attend client meetings
  • Provide custom client solution support
  • Familiarity with investment manager guidelines and language used in investment manager agreements
  • Knowledge of financial markets, investment instruments and portfolio management strategies
  • Knowledge of fixed income and derivatives asset classes would be advantageous
  • Familiarity with various investment styles, asset classes, strategies for achieving performance goals, benchmarks, and investment related terminology
  • Interest in researching topics, such as substantial shareholder limits and other topics related to our clients’ investment requirements for their global investments
  • Experience with industry vended compliance monitoring systems such as Charles River, Bloomberg POMS, RCB Dexia, etc. and/or Mutual Fund
  • Compliance and Risk Monitoring experience is a plus
33

Investment Compliance Senior Specialist Resume Examples & Samples

  • Work on complex, strategic projects and significant regulatory initiatives
  • Actively review and monitor numerous clients' investment guidelines and regulatory restrictions (e.g., Investment Management Agreement, Prospectus, Statement of Additional Information)
  • Review and analyze the daily investment compliance monitoring of clients' portfolios and regulated entities employing a variety of automated and manual processes
  • Review, identify and research compliance exceptions from which independent conclusions are made and reasonable solutions are proposed to the senior managers
  • Draft and review business requirements and provide feedback of key rules/reports utilized for compliance monitoring to ensure accuracy of the applicable requirements
  • Work with others in Compliance and across MFS in the review and comment of client investment guidelines and RFPs
34

Investment Compliance Lead Resume Examples & Samples

  • Demonstrated experience providing customer-driven solutions, support or service
  • Demonstrated experience partnering effectively with all levels of management
  • Demonstrated management or leadership experience
  • Demonstrated experience with buy-side Order Management Systems (i.e. CRD, Thinkfolio, Eze Castle, BlackRock Aladdin, Bloomberg AIM, etc.)
  • Solid knowledge and understanding of Investment Advisers Act of 1940, Investment Company Act of 1940, ERISA, State Insurance Regulations, AML, KYC, Sanction Monitoring, and/or designing/executing Policies and Procedures
  • Solid knowledge and understanding of various investment types and strategies
  • Solid understanding of investment products and securities regulation
  • Strong understanding of a trading lifecycle
35

Investment Compliance Analyst With German Resume Examples & Samples

  • Carry out compliance operations on the funds in order to ensure that fund’s assets comply with legal and investment policy requirements
  • Perform investment compliance controls using a dedicated IT tool
  • Analysis of the contractual and legal requirements and implementation into the compliance monitoring system
  • Setup and maintenance of funds master data and investment compliance rules in a dedicated IT tool
  • Contribute to the completion and maintenance of operational procedures in Depotbank Compliance scope
  • Support the integration of the new client’s operational activity
  • Administer the effectiveness of daily operations in your area
  • Cooperate on the delivery operational service levels agreed with clients, internally and externally
  • Take part in the development of new products and services
36

Investment Compliance Manager Resume Examples & Samples

  • Supervise the daily activities of the Investment Compliance Analysts, provide training, cross-training and support as necessary, and ensure appropriate coverage and distribution of workload
  • Along with the Investment Compliance Analysts, perform various compliance reviews and prepare / issue reports in accordance with the Investment Compliance Calendar, in order to identify and document compliance concerns and violations, including
  • Minimum of 5 years’ compliance, legal or regulatory experience in financial services industry
  • Knowledge of mutual fund industry/regulation strongly preferred
  • Strong research, organizational and follow-up abilities
  • Self-starter / reliable
  • Proficient in Microsoft Word, Excel and PowerPoint
  • Ability to quickly gain proficiency in other computer-based systems (Portfolio Accounting System, Bloomberg, etc.)
  • Willing to travel to Edison office, the offices of service providers, and conferences as required
37

Investment Compliance & Global Data Maintenance Departments Manager Resume Examples & Samples

  • Ensuring processes’ efficiency and time management of the Investment Compliance and Global Data Maintenance teams
  • Leading the continued growth of the Investment Compliance and Global Data Maintenance teams via recruitment, capacity and budgeting support
  • Ensuring adherence to legacy location requests and instructions
  • Leading the standardization of investment compliance and global data maintenance tasks
  • Driving the development of the DFS Warsaw Investment Compliance and Global Data Maintenance tasks to ensure that the teams are seen as a valuable members of DFS
  • Liaising with senior legacy location management on an on-going basis and act as their key point of contact
  • Managing the resources of the department effectively so that all number of changes are dealt without any service delivery degradation
  • Monitoring KPI’s and KRI’s
  • Proactively supporting Head of DFS Poland in any BAU topics, crisis management, meetings and projects
  • Organizing monthly staff meetings, regular feedback sessions to staff, twice yearly appraisals, ACE and improvement brainstorming and reviews strong industrial training induction for new staff, succession planning and career development
  • Ensuring all staff are trained, developed and coached so that there is rich, timely and professional communication and collaboration between the departments
38

Intermediate Investment Compliance Officer Resume Examples & Samples

  • Assists in completing and updating as appropriate all filings to ensure that AEGON USA Investment Management, LLC (AUIM) is in compliance with federal and state regulatory requirements, including the Form ADV Part I and II
  • Assists in maintaining code of ethics, insider trading, and all applicable policies, including maintaining Compliance Manual in accordance with SEC regulations and consistent with AUIM practices
  • Assists in review of marketing and advertising materials to ensure consistency with SEC requirements
  • Participates in communications, including in person meetings when appropriate, with compliance and law professionals for other AEGON member companies to assure consistency and efficiency in compliance matters
  • Bachelor’s degree in business or related field, or equivalent education and experience
  • Minimum of 2-4 years relevant work experience in the insurance industry in legal research, legal contacts, compliance, claims or underwriting
  • Proficiency in prioritizing and managing multiple tasks simultaneously under tight deadlines
  • Proficiency in writing, editing, and proofreading skills with aptitude to review technical materials
  • Detail oriented and strong analytical skills
  • Ability to develop strong working relationships and influence others on compliance matters
  • Prior experience administering marketing reviews
  • Compliance experience with a broker dealer, major insurance company, banking institution, or regulatory agency will be considered
  • Experience with a firm serving both affiliated insurance companies and non-affiliated institutional clients
39

Investment Compliance Paralegal Resume Examples & Samples

  • Coordinates with Investment Team to review, complete, organize, and maintain confidential Company investment files, which includes reviewing KYC documentation related to Company investments, confirming and certifying receipt of required documentation, and completing and archiving related checklists
  • Develops and maintains procedures for cataloging, indexing, and naming documents filed in an electronic investment files database; regularly reviews permissions for access to database by Company personnel; provides guidance to Investment Team to ensure consistency in applying procedures to new and existing documents for historical purposes
  • Drafts legal memoranda regarding compliance of investments with applicable insurance law
  • Coordinates with other department representatives within Guggenheim Insurance to ensure newly created documents are appropriately cataloged and maintained and practices are applied consistently across insurance entities
  • Responds to inquiries and retrieves documents as requested by external auditors, insurance regulators and authorized Guggenheim Insurance personnel
  • Learns other legal/compliance department functions in order to back-up legal/compliance department members who have primary responsibility for these functions
  • May assist with large legal/compliance projects, such as production of documents related to litigation matters, regulatory inquiries, and complying with subpoena requests and participate in other projects within the legal/compliance department
  • Experience supervising other professional staff and/or leading project teams across multiple departments is helpful but not required
  • Must demonstrate sound judgment and analytical skills with ability to work independently with a high degree of accuracy