Analyst Compliance
Arena Investors I Quaestor Advisors, India

Experience
1 Year
Salary
0 - 0
Job Type
Job Shift
Job Category
Traveling
No
Career Level
Telecommute
No
Qualification
As mentioned in job details
Total Vacancies
1 Job
Posted on
Mar 1, 2024
Last Date
Mar 16, 2024
Location(s)

Job Description

Support front, middle and back office personnel on a wide variety of regulatory compliance issues primarily in compliance with the Investment Advisers Act of 1940;

Daily code of ethics administration (e.g. PA dealing, Gifts amp; Entertainment, Outside Business Activity, Political Contribution, etc.) via the Star Compliance platform;

Maintenance of restricted trading list and watchlist;

AML/KYC risk-assessment and due-diligence;

Vendor due-diligence;

Daily portfolio management review and monitoring (e.g. trade blotter, positions, trade errors, best execution, allocation, principal/cross trades, etc.);

Daily monitoring of positions/holdings;

Preparation of significant shareholder/short sell filings;

Assist with regulatory filings oversight/co-ordination (e.g. Form ADV, Form PF, Form 13F, Form 13D/G, UK FCA filings, Singapore MAS filings, etc.)

Assist Testing and monitoring of compliance program;

Keeping abreast regulatory developments; and

Ad-hoc projects.

Requirements

1-3 years of regulatory compliance experience;

Familiarity with U.S. SEC rules and regulations;

Familiarity with private credit, private equity and public credit strategies;

Code of ethics administration experience;

Comfortable working independently, and balancing multiple priorities;

Excellent organizational, oral and written communication skills;

Flexible and capable of prioritizing based on changing internal or external demands; and

Bachelor's degree required.

Job Specification

Job Rewards and Benefits

Arena Investors I Quaestor Advisors

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