Singapore, Singapore, Asia Pacific
7 days ago
Portfolio Compliance Lead Analyst 2

Overview of Role/Principle Responsibilities

We’re looking for someone to join the Portfolio Compliance Oversight team in Singapore as a Portfolio Compliance Lead Analyst 2. The Portfolio Compliance Team is an essential part of the Schroder control environment, supporting Investment Teams to ensure effective pre and post trade mandate restriction monitoring.

It is a role where attention to detail, time management and good communication skills are critical. The Portfolio Compliance Lead Analyst 2 works closely with members of the Portfolio Compliance Team globally and also has regular contact across other teams in the business regionally.

The successful candidate will be someone willing to seize the opportunity and get the best out of being a member of this rapidly evolving team. Enthusiastic about improving processes, learning new skills and making a difference to the teams we support.

Key Responsibilities

Daily Review of overnight violations; escalate and follow through issues appropriatelyPerform alternative monitoring for restrictions that cannot be coded in Aladdin and strive to automate or streamline the procedure where possibleAssist teams to override order or trade violations where necessary or appropriateMaintain broker rules in Aladdin and assist Trading Desks with queriesWork closely with Fund Managers / Product / Client Executives on investment guidelines related matters and issues, and maintain good working relationships with themWork closely with global coding and oversight teams to enhance the control environmentProvide advice on the validity of pre-trade alerts and explore ways to reduce unnecessary pre-trade noiseAssist in and/or lead audit/regulator/client queries and visitsNew Account on-boarding activities including translating the investment guidelines into code using the Aladdin platform, and able to review the coding changes done by other team membersReview, update, test and troubleshoot errors, if any, on rules due to investment guidelines changesParticipate/Lead in projects and working groups relating to new markets, instruments and mandate in order to assess the impact on restrictions monitoring, and initiatives including providing suggestions on efficiency and risk deductionAnalysis of gaps and provide onward communication / training to message risks / gaps, priorities and achievementsProactively updates documentations and reviews tasks / Continuously challenging the BaU environmentSteward processes and change documentation to ensure approvals, sign-offs and change control can be easily audited.Coach and mentor junior members of the teamHandle the departmental administrative matters together with the rest of the team

General skills

Good communication, written and spoken, and be able to connect with peopleStrong overnight monitoring and problem-solving skillsCan connect the clear consistent emails with the violationsGood leadership skills and able to motivate and hold people accountable to deliver on commitments especially outside BAUAble to align goals and attitude to Schroders values: Excellence, Innovation, Teamwork, Passion and IntegrityOrganised, have good time management skills and able to prioritise given tasksAbility to deliver complex information in a clear and concise way, both written and face to faceCare and diligence in reviewing overnight violations and the desire to make the way we do things more robust, scalable and efficientProactive approach to risk mitigationAble to tap on past relevant experiences to handle novel issues

Technical Skills

5 or more years’ experience in performing investment guidelines monitoring in the investment management industry and of investment productsWorking knowledge and understanding of the regulations relating to regulatory investment restrictions e.g. UCITS, 40s ACT, Canadian PensionsPreferably experience in using Aladdin or any other guidelines monitoring systems, Refinitiv or BloombergProficient in MS Office such as Excel and Word.

Personal Attributes

Self-motivated and enthusiastic; with the ability to own and deliver solutionsFlexible, highly curious and willing to learnA critical thinker who’s able to look at things from different anglesAttention to detail with a passion for qualityResponsible, diligent and willing to put in extra effort and hours to get things accomplishedDesire to shape how we communicate with various Schroders teams and to build and manage efficient processes to deliver information

We recognise potential, whoever you are

Our purpose is to provide excellent investment performance to clients through active management. Diversity of thought facilitated by an inclusive culture will allow us to make better decisions and better achieve our purpose. This is why inclusion and diversity are a strategic priority for us and why we are an equal opportunities employer: you are welcome here regardless of your age, disability, gender identity, religious beliefs, sexual orientation, socio-economic background or any other protected characteristics.

Overview of Role/Principle Responsibilities

We’re looking for someone to join the Portfolio Compliance Oversight team in Singapore as a Portfolio Compliance Lead Analyst 2. The Portfolio Compliance Team is an essential part of the Schroder control environment, supporting Investment Teams to ensure effective pre and post trade mandate restriction monitoring.

It is a role where attention to detail, time management and good communication skills are critical. The Portfolio Compliance Lead Analyst 2 works closely with members of the Portfolio Compliance Team globally and also has regular contact across other teams in the business regionally.

The successful candidate will be someone willing to seize the opportunity and get the best out of being a member of this rapidly evolving team. Enthusiastic about improving processes, learning new skills and making a difference to the teams we support.

Key Responsibilities

Daily Review of overnight violations; escalate and follow through issues appropriatelyPerform alternative monitoring for restrictions that cannot be coded in Aladdin and strive to automate or streamline the procedure where possibleAssist teams to override order or trade violations where necessary or appropriateMaintain broker rules in Aladdin and assist Trading Desks with queriesWork closely with Fund Managers / Product / Client Executives on investment guidelines related matters and issues, and maintain good working relationships with themWork closely with global coding and oversight teams to enhance the control environmentProvide advice on the validity of pre-trade alerts and explore ways to reduce unnecessary pre-trade noiseAssist in and/or lead audit/regulator/client queries and visitsNew Account on-boarding activities including translating the investment guidelines into code using the Aladdin platform, and able to review the coding changes done by other team membersReview, update, test and troubleshoot errors, if any, on rules due to investment guidelines changesParticipate/Lead in projects and working groups relating to new markets, instruments and mandate in order to assess the impact on restrictions monitoring, and initiatives including providing suggestions on efficiency and risk deductionAnalysis of gaps and provide onward communication / training to message risks / gaps, priorities and achievementsProactively updates documentations and reviews tasks / Continuously challenging the BaU environmentSteward processes and change documentation to ensure approvals, sign-offs and change control can be easily audited.Coach and mentor junior members of the teamHandle the departmental administrative matters together with the rest of the team

General skills

Good communication, written and spoken, and be able to connect with peopleStrong overnight monitoring and problem-solving skillsCan connect the clear consistent emails with the violationsGood leadership skills and able to motivate and hold people accountable to deliver on commitments especially outside BAUAble to align goals and attitude to Schroders values: Excellence, Innovation, Teamwork, Passion and IntegrityOrganised, have good time management skills and able to prioritise given tasksAbility to deliver complex information in a clear and concise way, both written and face to faceCare and diligence in reviewing overnight violations and the desire to make the way we do things more robust, scalable and efficientProactive approach to risk mitigationAble to tap on past relevant experiences to handle novel issues

Technical Skills

5 or more years’ experience in performing investment guidelines monitoring in the investment management industry and of investment productsWorking knowledge and understanding of the regulations relating to regulatory investment restrictions e.g. UCITS, 40s ACT, Canadian PensionsPreferably experience in using Aladdin or any other guidelines monitoring systems, Refinitiv or BloombergProficient in MS Office such as Excel and Word.

Personal Attributes

Self-motivated and enthusiastic; with the ability to own and deliver solutionsFlexible, highly curious and willing to learnA critical thinker who’s able to look at things from different anglesAttention to detail with a passion for qualityResponsible, diligent and willing to put in extra effort and hours to get things accomplishedDesire to shape how we communicate with various Schroders teams and to build and manage efficient processes to deliver information

We recognise potential, whoever you are

Our purpose is to provide excellent investment performance to clients through active management. Diversity of thought facilitated by an inclusive culture will allow us to make better decisions and better achieve our purpose. This is why inclusion and diversity are a strategic priority for us and why we are an equal opportunities employer: you are welcome here regardless of your age, disability, gender identity, religious beliefs, sexual orientation, socio-economic background or any other protected characteristics.

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