Holistic ownership and understanding of client accounts, trade life cycle and act as a single point of contact for AMD business for any investment guideline issues or queries. Types of client accounts include institutional separately managed accounts, regulated mutual funds/pooled vehicles, ERISA pension plans, and unregistered private funds. Ability to understand and decipher into business logic from sources including investment management agreements (IMA), fund prospectuses and statement of additional information, Investment Policies, Pre-Contractual Obligations (PCDs) and other client investment restrictions including an ever-evolving landscape of Environmental, Social and Governance (“ESG”) client and regulatory requirements. Implement and maintain client and regulatory guideline rules on compliance platforms Liaison with Investment Teams to ensure understanding and adherence to investment guidelines Partner with various operations and technology engineering teams to improve data availability and quality, and improvements/modernization of existing processes. Collaboration with post-trade guidelines monitoring partners to provide advice and assistance in helping to resolve live guideline exceptions and issues, exceptions reduction, and manually monitored guidelines. Represent the team in client meetings for due diligence purposes Partner and liaise with client implementation teams to qualify new business, implement account events, and ensure the adequacy of account surveillance. Providing effective thought leadership in navigating evolving financial regulatory landscape and helping to develop technological solutions to build appropriate architecture.
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Job Type
Full-time
Career Level
Mid Level