Posted by
Posted in
Banking & Finance
Job Code
1736489

Head - Investment Compliance (17-25 yrs) Mumbai
(Open for people willing to relocate to India)
- Lead the Investment Compliance & Controls Monitoring function for the Asset Management business, covering end-to-end investment compliance, controls monitoring and market abuse monitoring.
- Own investment guideline and mandate interpretation, translating client mandates, IMAs, prospectuses and regulatory requirements into clear compliance rules and monitoring frameworks.
- Lead pre-trade and post-trade investment compliance monitoring, including identification, investigation, escalation and resolution of investment breaches.
- Establish and strengthen governance frameworks for investment compliance, controls monitoring, breach management, documentation and reporting.
- Drive the rule lifecycle from requirement interpretation and rule specification through coding, testing, implementation and ongoing review.
- Partner closely with Portfolio Managers, Investment Managers, Trading/Dealing teams, Client Directors, Product, Operations and Technology on investment compliance and control requirements.
- Lead continuous improvement of compliance monitoring through technology, automation, data and analytics, including platforms such as Aladdin and related investment-management ecosystems.
- Oversee controls assurance, testing, regulatory change, audit readiness and remediation across investment compliance activities.
- Provide senior leadership on control effectiveness, risk themes, breaches, emerging regulatory requirements and investment compliance governance.
- Lead and develop a high-performing investment compliance team, driving capability building, operating-model effectiveness and service delivery.
- Work with global stakeholders to establish consistent investment compliance standards and controls across portfolios and funds.
- Drive continuous enhancement of the control environment, including data lineage, evidence management, resilience and technology-enabled monitoring.
Ideal Candidate:
- 15+ years of experience in Investment Compliance / Portfolio Compliance within buy-side Asset Management / Investment Management.
- Strong experience in investment guidelines, mandate/IMA and prospectus interpretation, portfolio compliance and breach management.
- Hands-on understanding of pre-trade and post-trade compliance monitoring and rule coding/testing.
- Experience across multiple asset classes, including equities, fixed income and derivatives; exposure to ESG investment restrictions is advantageous.
- Strong technology/controls orientation, with experience in Aladdin or comparable investment compliance platforms.
- Experience managing senior stakeholders across Investment Management, Trading, Operations, Product, Technology and Risk/Compliance.
- Proven people leadership and experience building/transforming investment compliance or controls-monitoring teams.
- Strong understanding of regulatory requirements, controls assurance, governance and audit/regulatory engagement.
- CFA / FRM or relevant postgraduate qualification would be advantageous.
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Posted by
Posted in
Banking & Finance
Job Code
1736489