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    Senior Compliance Manager - Boston, United States - Boston Partners Global Investors, Inc.

    Boston Partners Global Investors, Inc.
    Boston Partners Global Investors, Inc. Boston, United States

    5 days ago

    Default job background
    Accounting / Finance
    Description

    Position: Sr. Compliance Manager

    Department: Compliance

    Report to: Chief Compliance Officer

    Company Summary:

    Boston Partners is a global investment advisor with $103 billion in AUM and 175 employees. The firm was founded in 1995 and has its main office in Boston with other offices in New York, California, and London. Boston Partners is an indirect, wholly owned subsidiary of ORIX Corporation of Japan. Boston Partners specializes in value equity investment strategies using fundamental research and a disciplined investment process investing in companies with attractive value characteristics and strong business fundamentals where there is a catalyst for positive change.

    Boston Partners' management seeks to maintain a collegial environment emphasizing performance and cooperation with the goal for employees to spend the majority of their careers at Boston Partners.

    Position Summary

    The Senior Compliance Manager is an integral part of Boston Partners' 8-person compliance department. The Senior Compliance Manager will be expected to exercise leadership responsibilities as well as specific areas of responsibility including developing compliance policies and procedures and performing compliance auditing of key processes. The Senior Compliance Manager will interact with other Boston Partners' employees, including senior management, portfolio managers and analysts, and present to clients and prospects. The Senior Compliance Manager will work cooperatively with other department personnel and will be responsible for managing special projects as assigned.

    Major Responsibilities

    • Compliance generalist able to address all areas of compliance.
    • Review regulatory changes and prepare policies to implement those changes.
    • Oversee Code of Ethics inclusive of personal trading review, gifts and entertainment monitoring, and political contributions.
    • Develop and deliver compliance training programs for employees.
    • Review marketing materials and other communications for compliance with regulatory requirements.
    • Prepare various regulatory filings, including but not limited to Section 13 filings and net short position reporting.
    • Assist with regulatory requests and examinations.
    • Assist with firm's registrations and renewals.
    • Futures & commodities compliance.
    • Ad-hoc projects as needed.

    Requirements

    • Excellent oral and written communication and interpersonal skills.
    • Ability to interact with various levels of management.
    • A desire to be an innovative problem solver who enjoys crafting solutions.
    • Strong analytical skills.
    • Detail oriented and well organized.
    • Ability to multi-task in a fast-paced environment.
    • Self-motivated and able to work independently.

    Qualifications

    • 5 – 10 years of relevant experience in investment advisory compliance, preferably in an asset management firm.
    • Strong understanding of securities regulations, including the Investment Advisers Act of 1940 and the Securities and Exchange Act of 1934.
    • Extensive computer experience, including proficiency in Microsoft Word and Excel.

    The above declarations are not intended to be an all-inclusive list of the duties and responsibilities of the job described, nor are they intended to be such a listing of the skills and abilities required to do the job. Rather, they are intended only to describe the general nature of the job. We are an equal opportunity employer and value diversity in the workplace. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability status, protected veteran status, or any other characteristic protected by law.



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