Business Compliance Analyst, Officer
State Street Corporation
12 d. temu

Major responsibilities :

  • Research and analyses of local and global regulations within the Funds industry (e.g. UCITS, AFIMD, 1940 act) as well as technical requests from our client
  • Establish and test MIG21 rules to review investor limits
  • Product responsibility for local and global LawCard
  • Consulting of clients for implementation of new asset classes and regulatory requirements
  • Contact person for clients and organize workshops and trainings
  • Lead and support within projects
  • Maintain contact to regulators and industry associations (e.g. ESMA, FCA, SEC, EFAMA)
  • Education, Experience and Skills :

  • Preferably CFA Certification, FRM Financial Risk Manager or CRM Certified Risk Manager
  • Several years of experience with derivatives and other asset classes
  • Data format knowledge of middle- and back-office systems (e.g. MCH, Simcorp, GP3, Multifunds, InvestOne) and experience with software integration within Investment Management / Depository is a plus
  • Fluency in English required, German or French knowledge is a plus
  • Strong IT affinity and self-motivated personality
  • Team player, open minded, confidence
  • Ability to work independent and analytical
  • Knowledge of SQL is a plus
  • We offer :

  • Competitive benefits and salary package (employee savings plan, Life insurance premium package, VIP medical package and many others)
  • An International operating environment
  • Diversity of opportunities across a range of challenging and highly complex activities
  • Technical or leadership career pathway
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