CA vacancy in Invesco

CA - vacancy - Invesco - jobscan -Taxscan

The Invesco has invited applications for the post of Compliance Analyst.

Invesco Ltd. is an American independent investment management company that is headquartered in Atlanta, Georgia, United States, and has branch offices in 20 countries. 

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 EMEA, US, CA and APAC IC teams, in accordance with relevant regulations (like: 1940 Act, UCITS, FCA, COLL, ESMA guidelines, SFC Rules, 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, post trade monitoring and allied reporting) to be effective.

Responsibilities:

  • Perform the review of regulatory and client guidelines to ensure accuracy and efficiency of existing rules coded and/or to code relevant rules on order management system
  • Regular Rule maintenance on trading application i.e. Charles River Development (CRD)
  • Prepare documentation to support reviews conducted and to substantiate/demonstrate adequate processes/controls in coding rules on order management system
  • Address compliance alerts/warnings (mainly overnight compliance) related to trading strategies and the application of technology related or manual controls created and applied during this process.
  • Perform review of portfolio transactions and monitor compliance investment restrictions as they apply to holdings and transactions, identifying breaches and following up with relevant stakeholders to ensure rectification
  • Assist in resolving queries with regional compliance teams
  • Assist with ongoing review of relevant processes and procedures to ensure best practice
  • Prepare/support Analytics for Investment Compliance function to Executive Compliance Leadership
  • Conduct forensic, 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.
  • Act as subject matter expert in resolving complex situations in day to day tasks and mentor other colleagues in team
  • Assist in Compliance related projects and initiatives.
  • Assist legal and compliance staff members as required.
  • Effectively find solutions to compliance issues as they arise. 

Qualification: 

  • B. Com / M. Com / MBA /CA / Degree in Commerce/Finance.
  • Total work experience of 2 – 4 years required including 1 – 2 years of relevant work experience of rule coding with an investment advisor or mutual fund group in Compliance or regulatory environment.
  • Experience with regulatory environments such as SEC, ERISA, CSSF and FCA is required.
  • Strong knowledge of and experience with Equity/Fixed Income/ETF Products required, including 40 Act Funds. Knowledge of securities regulation as it relates to operations within advisor compliance programs is required.
  • Proficiency on MS Office suite of applications
  • Good written and verbal communication skills
  • Good interpersonal and strong analytical skills

Location: Hyderabad, Andhra Pradesh, India.

For more details and to apply, click here:

taxscan-loader