
Compliance Lead Specialist
4 days ago
At MFS, you will find a culture that supports you in doing what you do best. Our employees work together to reach better outcomes, favoring the strongest idea over the strongest individual. We put people first and demonstrate care and compassion for our community and each other. Because what we do matters - to us as valued professionals and to the millions of people and institutions who rely on us to help them build more secure and prosperous futures.
THE ROLE
Interacts with MFS management to proactively monitor and resolve regulatory and compliance issues, with an emphasis on regional regulatory and legal frameworks.
Provides input and engagement to strategic projects and process improvements to help deliver on the department’s strategic goals aligned to fixed income and derivative operations.
WHAT YOU WILL DO- Review pre
- and post-trade alerts to ensure adherence to investment restrictions, mandates, and guidelines.- Develop and maintains a comprehensive understanding of investment and regulatory restrictions (e.g., Investment Management Agreement, Prospectus).- Support Portfolio Managers and Traders with timely resolution and proactive communication.-
- Work with Compliance management to ensure that, within a specific part of the business, the organization’s activities comply with all pertinent legal and regulatory requirements including those relating to regional APAC regulators as well as 40 Act, UCITs and NI-81-102.- Monitor and maintain portfolio restriction lists in the trading systems and platforms.- Develop, review and update procedures and controls within the group and assist management in ensuring compliance on an ongoing basis.- Examine department workflow and makes recommendations on ways to increase efficiency through automation or other means while maintaining internal controls.- Review reports and otherwise ensure the integrity of reports generated from the department.- Provide training, guidance and support to Global Compliance Department on regional regulatory requirements relating to equity, fixed income and derivatives.- Performs additional related responsibilities as required.
WHAT WE ARE LOOKING FOR- Bachelor’s degree or equivalent direct experience required.- Minimum 5 years of experience in investment compliance within the financial services industry, preferably with exposure to asset management.- Understanding of relevant regulatory frameworks and guidelines within APAC jurisdictions.- Strong analytical skills with the ability to interpret complex investment compliance requirements incorporating fixed income, equity and derivative instruments.- Ability to collaborate proactively with investment stakeholders and communicate compliance matters to non-compliance stakeholders.- Ability to foster strong interpersonal relationships and to collaborate effectively in cross-functional and international teams throughout the organization.- Proactive and meticulous attention to detail. Takes ownership and drive outcomes.- Proficient in using investment compliance systems monitoring and other relevant industry tools.- Proficiency in MS Office Suite and ability to develop proficiency in MFS systems as required.- Able to work overtime as necessary to keep current with work.- Some periodic travel, domestic and international, is required.
PREFERRED SKILLS, QUALIFICATIONS & EXPERIENCE- Direct experience using CRIMS (Charles River Investment Management Solutions).- Experience in supporting the onboarding new workflows, processes and systems to enhance operational effectiveness.
LI-HYBRID
What we offer:
At MFS, we view our employees as family — and like you, we want our family happy and healthy. That's why we provide competitive benefits programs and family-friendly policies which support the work-life balance needs of our employees.
MFS is a hybrid work environment (remote/onsite) unless otherwise stated in the job posting.
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