Emea Advisory Institutional
6 months ago
Description
About this role
An exciting opportunity has arisen for a Vice-President to join our Institutional Clients & Client Solutions team within the Compliance Line of Business team. This position will complement an existing team of expert compliance professionals based in London and Dublin and will support the Head of the team.
The team is responsible for the oversight of the regulatory risks, and activities associated with the marketing/distribution and delivery in EMEA of institutional, wealth and Outsource Chief Investment Officer (‘OCIO’) client solutions (products and services) an important area of growth for BlackRock, and partnerships,
In this role, you will interact with a broad range of stakeholders across the firm and will work very closely with our institutional and wealth client businesses and the Multi-Asset Strategies & Solutions (‘MASS’), the investment group at the heart of BlackRock's portfolio construction and asset allocation ecosystem. MASS brings together BlackRock's research, investment experience and technology to meet clients' needs for whole portfolio multi-asset approaches.
You will also provide compliance support and oversight for our Financial Markets Advisory (‘FMA’) business, which provides a range of advisory services by leveraging the firm’s capital markets, data and risk analytics, technology, and financial modeling capabilities, and the BlackRock Solutions (‘BRS’) business (including Aladdin and eFront).
Key Responsibilities:
- Making a strong contribution to the Compliance Team’s provision of qualitative compliance advice, advisory support, and oversight.
- Oversight of the regulatory risks, and activities associated with the marketing/distribution and delivery in EMEA of institutional, wealth and OCIO client solutions (products and services).
- Further cementing the relationship between the Compliance Team and business stakeholders (e.g., MASS Investment and Business Management Teams, institutional and wealth client channels, FMA, BRS Sales & Distribution channels, Legal, Client Contracting, Tech & Ops, etc.) and promote a first-class compliance culture.
- Participating in client due diligence visits, prospective client sales meetings and direct conversations with clients where required.
- Support the launch of new products and solutions for clients e.g. regulatory advice to the business on UCITS/AIFMD, pre
- and post-trade monitoring, distribution matters, ESG matters, etc.
- Leading Compliance participation in Compliance or business-driven projects, including regulatory developments and strategic initiatives, by providing expert and timely value-added advice.
- Contributing to the creation of management reporting and communication on Compliance matters to senior management, corporate and/or fund boards and BlackRock business stakeholders.
- Providing advice on the anticipation, impact assessment and response to regulatory developments.
- Designing and delivering effective regulatory training initiatives to the business.
- As a senior member of the team, developing less experienced members of the team and supporting colleagues with knowledge sharing and cross-training.
Knowledge / Experience:
- Strong communication skills with an ability to articulate complex regulatory matters and well-developed relationship management skills
- Technical ability and mindset to challenge the status-quo and deliver a solutions-driven approach and the judgment to use this in appropriate circumstances.
- Consistent ability to demonstrate high standards of professional accuracy and excellent attention to detail.
- Demonstrable ability to influence a highly performing internal client base by delivering timely, credible, accurate and value-added advice.
- Highly effective written and verbal communications skills.
- Excellent organizational skills with ability to prioritize workloads progress multiple tasks and adhere to deadlines.
- Ability to collaborate effectively both within the team and across functions and to work autonomously with mínimal supervision.
- Relevant experience within a control function, ideally within the asset management industry and within Compliance or Legal.
- At least 7 years of relevant experience working within a control function, ideally within Compliance or Legal, in the asset management industry.
- Working knowledge of UCITS, AIFMD, MiFID requirements (including investment advice, product governance, costs & charges, client categorization, suitability, and research), conduct of business requirements and regulatory requirements in relation to the distribution of services in EMEA.
Our benefits
To help you stay energized, engaged and inspired, we offer a wide range of employee benefits including: retirement investment and tools designed to help you in building a sound financial future; access to education reimbursement; comprehensive resources to support your physical health and emotional well-being; family support programs; and F
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