Compliance Analyst
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As one of the world's leading independent global investment firms, Invesco is dedicated to rethinking possibilities for our clients. By delivering the combined power of our distinctive investment management capabilities, we provide a wide range of investment strategies and vehicles to our clients around the world. If you're looking for challenging work, intelligent colleagues, and exposure across a global footprint, come explore your potential at Invesco. Job Description Your Team This position would be part of Center of Excellence (CoE) for Investment Compliance and provide necessary assistance to Global Investment Compliance (IC) function from Hyderabad office. This role would also provide support as required to Americas IC teams, in accordance with relevant regulations (like 1940 Act, Canadian NI 81-102 etc.) and fund-specific investment restrictions as contained in the prospectus or investment management agreement. This role requires applicable IC related skills (experience in rule coding, rule testing, post trade monitoring and allied reporting) to be effective. Your Role Monitoring investment guidelines of client portfolio and ensuring violations (active & passive) are addressed in a timely manner by informing the onshore counterparts. Identify and analyze investment restrictions to ensure asset allocation and issuer concentration, industry, sector and security investment limits, Credit quality, Duration and other risk characteristics, leverage restrictions, country and region exposures, industry regulations are in line with the Investment Management Agreement. Onboarding of new clients for investment compliance by understanding the investment restrictions, interpreting the mandate, coding, and testing the restrictions and reporting the exceptions. Ensure the restricted securities are updated in restricted lists on security / issuer level to ensure these are being restricted for trading by the portfolio managers. Exposure to various types of asset classes like Equities, Fixed Income and derivatives and understanding on holding and transaction level checks. Conduct periodic and transactional testing to ensure compliance of the investment manager with all applicable state, federal and self-regulatory agency requirements. Interact with members of regional and global compliance teams to assess, document, monitor, report, develop, coordinate, and implement various compliance monitoring activities, ongoing testing and related controls. Respond to basic and intermediary queries from team members and report to manager for any escalation. Assist in Compliance-related projects and initiatives. SHIFT Timings: Timing would be primarily aligned to Americas Region i.e. 5:30pm to 2:30am IST, however this is subject to change based on business requirement from time to time. Also, daylight saving would influence the timings. The Experience You Bring 2 to 4 years of work experience in investment compliance with an investment advisor or mutual fund group. Good understanding of capital markets, financial products, and asset management industry. knowledge of and experience with 40 Act Funds, Multi-Asset Funds, Equity/Fixed Income/ETF Products required, Institutional Products, Stable Value & Bullet Shares products. Knowledge of securities regulation as it relates to operations within advisor compliance programs is required. Experience with regulatory environments such as SEC, 1940 Act, NI 81-102 is required. Excellent communication and interpersonal skills Strong analytical skills and attention to detail Ability to work both independently and as well as a team Effective computer skills I shall be open to working flexible hours Flexible and adaptable attitude Proficiency in MS Office suite of applications Familiarity with trading systems and compliance components such as ALADDIN, Charles River, Bloomberg AIM, LZ Sentinel. Academic requirements B. Com / M. Com / MBA /CA / Degree in Commerce/Finance Full Time / Part Time Full time Worker Type Employee Job Exempt (Yes / No) No Workplace Model At Invesco, our workplace model supports our culture and meets the needs of our clients while providing flexibility our employees value. As a full-time employee, compliance with the workplace policy means working with your direct manager to create a schedule where you will work in your designated office at least three days a week, with two days working outside an Invesco office. Why Invesco In Invesco, we act with integrity and do meaningful work to create impact for our stakeholders. We believe our culture is stronger when we all feel we belong, and we respect each other's identities, lives, health, and well-being. We come together to create better solutions for our clients, our business and each other by building on different voices and perspectives. We nurture and encourage each other to ensure our meaningful growth, both personally and professionally. We believe in diverse, inclusive, and supportive workplace where eve
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