- Daily Compliance reviews of trading activity, and working directly with portfolio management and trading teams to resolve exceptions noted during reviews of portfolio activities.
- Set up and test compliance rules and restrictions, and review and verify the accuracy of client account setups.
- Read and understand operating manuals, contracts, state statutes, and client documents distilling them down to actionable information and requirements that can be implemented as account restrictions.
- Maintain pertinent compliance logs (employees, errors, complaints) and records and assist in preparing regular compliance reports.
- Assist in the development, implementation, and maintenance of comprehensive compliance program controls and tools including compliance manual, policies, and procedures.
- Assist with projects and initiatives involving technology and data to develop, enhance, and automate compliance processes and test systems.
- Keep abreast of changing regulatory requirements news and observations with a focus on how they affect our business.
- Implements and supports the department's strategic direction, vision & mission in alignment with the Company's strategy.
- 2 to 4 years Financial Services Industry Experience preferably with at least 1 year of Compliance, Audit or Risk Management experience in the investment advisor or mutual fund industry.
- Basic understanding of the general regulatory environment for asset managers.
- Excellent organizational and analytical skills, with the ability to prioritize and meet deadlines to effectively manage self and deliver on agreed upon objectives.
- Experience developing and improving processes
- Experience reading and interpreting complex technical documents to accurately extract information is required.
- Strong MS Office skills and the proven ability to quickly learn new systems is required.
- Proficiency in Python, SQL and/or Excel VBA, or report building/data visualization tools is a plus.
- Strong desire to learn, take on new assignments, and share knowledge.
- Process and detail oriented with the ability to identify risks and opportunities, demonstrating a strong appreciation for complexity and nuance.
- Effective analytical, forward thinking, problem solving, and decision-making skills.
- Experience in working with Salesforce, Snowflake, Perform, Eze, or ServiceNow a plus
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Compliance Officer - Atlanta - Ivz
Description
Compliance Officer
As our new Compliance Officer, you'll play a key role in supporting one of Invesco's Registered Investment Advisers, and Invesco's Americas Compliance team. You'll gain hands-on experience across a broad range of compliance activities, helping to ensure that we meet the highest regulatory standards.
The responsibility of this Compliance Officer position is to support the day to day compliance functions and program of the growing Invesco Managed Accounts line of business. The position will have the opportunity to work with other specialized compliance groups across Invesco globally and cross-functionally with various business partners. We're seeking a detail-oriented creative thinker to help us scale processes, solve problems, and continue to enhance our compliance oversight model.
You will be Responsible For:
The Experience You Bring:
The salary range for this position is $70,000 - $90,000/ year. The total compensation offered for this position includes salary and incentive pay and will vary based on skills, experience and location.
Full time Employee Job Exempt (Yes / No) Yes Workplace Model
Pursuant to Invesco's Workplace Policy, employees are expected to comply with the firm's most current workplace model, which as of October 1, 2025, includes spending at least four full days each week working in an Invesco office. This reflects our belief that spending time together in the office helps us build stronger relationships, collaborate more easily, and support each other's growth and development.
Invesco's culture of inclusivity and its commitment to diversity in the workplace are demonstrated through our people practices. We are proud to be an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, creed, color, religion, sex, gender, gender identity, sexual orientation, marital status, national origin, citizenship status, disability, age, or veteran status. Our equal opportunity employment efforts comply with all applicable U.S. state and federal laws governing non-discrimination in employment.
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Compliance Officer
Only for registered members Atlanta
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Compliance Officer
Only for registered members Atlanta, GA
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Compliance Officer
Only for registered members Atlanta
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Compliance Officer
Only for registered members Atlanta
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Compliance Officer
Only for registered members Atlanta, Georgia, United States
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Compliance Officer
Only for registered members Atlanta, GA
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Compliance Officer
Only for registered members Atlanta
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Compliance Officer
Pozent- Atlanta
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Chief Compliance Officer
Only for registered members Atlanta
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Senior Compliance Officer
Only for registered members Atlanta, GA
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Assistant Compliance Officer
Only for registered members Atlanta, GA, US
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Claims Compliance Officer
Only for registered members Atlanta
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Chief Compliance Officer
Only for registered members Atlanta, GA
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Sr Compliance Officer
Only for registered members Atlanta, GA
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Sr Compliance Officer
Full time Only for registered members Atlanta
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Sr Compliance Officer
Only for registered members Atlanta, GA
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Sr. Director, Global Compliance Officer
Only for registered members Atlanta
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Code Compliance Officer
Only for registered members Decatur
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Code Compliance Officer
Full time Only for registered members Atlanta
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Ryan White/340B Financial Compliance Officer
Only for registered members Ware County, GA
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Senior Associate, Compliance Operations Program Office
Only for registered members Atlanta