My client is one of the world’s largest Investment Managers and due to strong growth, they are looking to hire an experienced investment compliance professional to join their team in Singapore. This is a newly established headcount!
As a Portfolio Investment Compliance Officer, you will engage directly with the Investment Group, Traders, and other business teams to support Trade and Compliance.
You will be responsible for performing both pre and post-trade compliance checks to ensure investment portfolios maintain their respective mandates, and adhere to local rules and regulations. The ideal candidate has experience reviewing and interpreting investment guidelines for equities and fixed income portfolios. You will serve as a subject matter expert for all portfolio compliance related inquiries.
To qualify, individuals must possess:
- University degree
- 5+ years of experience in handling Portfolio Compliance in a Financial Institution
- Experience utilizing either Charles River, Aladdin, Bloomberg AIMS, or MIG 21
- Experience with Equity or Fixed Income investment compliance knowledge
EA License No: 16S8066 | Registration No. R1873099
Only successful candidates will be notified.