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About Compliance Professionals
We are a leading provider of compliance services to the financial industry, specializing in regulatory advice and risk management.
Job Summary
We are seeking a highly skilled Compliance Associate to join our team. The successful candidate will be responsible for managing compliance relationships with our clients, providing technical advice and guidance, and developing and implementing compliance policies and procedures.
Key Responsibilities
- Manage compliance relationships with clients, including portfolio managers, research analysts, and the finance team.
- Provide clear and consistent technical advice and guidance to colleagues on regulatory matters.
- Develop, update, and implement compliance policies and procedures.
- Prepare and maintain employee certifications in accordance with regulatory requirements.
- Review the implications and impact of upcoming regulatory changes.
- Assist in/lead on day-to-day compliance oversight and monitoring activities, including market soundings, management of the restricted list, advising on guideline restrictions, conflicts of interest, financial promotion approvals, client classification, and research.
- Provide compliance input into various projects/initiatives, including new fund launches and other development initiatives.
Requirements
- Prior experience in a compliance role within an asset management environment.
- Strong relationship skills with the ability to engage proactively with clients and colleagues at all levels.
- Good knowledge of regulatory rules as they apply to asset managers.
- Understanding of the asset management industry and specific investment asset classes and products.
- Attention to detail and accuracy, with the ability to work systematically to meet and maintain standards.
- Good analytical skills, with the ability to think logically and resolve problems.