The Analyst will focus on providing support to investment teams, to ensure that investment transactions and holdings are compliant with client guidelines and regulatory requirements
The Analyst will be part of the team that: Reviews Investment Management Agreements, evaluates client guidelines, and maintains the guideline monitoring system, called Sentinel
Performs real-time, pre-trade support with investors
Resolves post-trade incident exceptions generated from Sentinel
The Analyst will work collaboratively with other Guideline Monitoring Analysts, as well as other internal teams, specifically our Global Relationship Teams, Product Management and Portfolio Management
The Analyst will develop a deep understanding of investment strategies relative to client guidelines and regulatory requirements
Requirements
Candidate must demonstrate a working knowledge of investment types, including equity and fixed income products, and derivative securities
Prior experience in guideline monitoring, investment operations or compliance, or an understanding of different regulatory regimes would be advantageous but is not required
Candidate should be energetic, self-confident, and have an inquisitive mind
An ideal candidate should be a self-starter who is results-driven, and be controls conscious
Possess strong organizational skills and proven ability to manage assignments with competing priorities
Exhibit strong interpersonal and communicative abilities
Demonstrated capability to perform both independently and collaboratively
Possess excellent attention to detail
Exhibit strong proficiency in computer skills and digital literacy, particularly with Word, Excel, and similar software applications