Investment Compliance Manager
NISA Investment Advisors
Overview NISA Investment Advisors, LLC (NISA) partners with world-leading organizations to design, develop, and manage highly customized, risk-controlled investment strategies across fixed income, equities, and derivatives. With $483 billion assets under management ($299 billion in physical assets and $184 billion in derivatives notional value), NISA actively manages risk for institutional investors, providing clarity to complicated challenges and stability in ever-evolving markets. At NISA, we foster a culture that supports both personal and professional growth, providing opportunities to learn from experienced professionals while contributing meaningful work from the outset. We seek candidates who demonstrate strong quantitative and analytical skills, intellectual curiosity, and a collaborative mindset to join our growing teams. Responsibilities As an Investment Compliance Manager, you will be responsible for understanding and testing NISA's trading and investment processes for some of the largest asset owners in the world. Using NISA's data and technology, you will play a critical role in managing and documenting compliance with NISA's trading policies, including best execution and trade allocation. You will collaborate closely with the Portfolio Management Department and other stakeholders to develop deep knowledge of NISA's trading processes and data flows. You will also manage the development and execution of trade surveillance testing to verify compliance with regulatory standards and internal policies. Working closely with NISA's Risk Management Group, you will enhance controls and mitigate any identified process gaps. Specific responsibilities include, but are not limited to:
- Develop and execute testing across NISA's trading processes, including documenting and summarizing results
- Proactively identify compliance risks and implement corrective actions as necessary
- Review and maintain trade error logs/forms
- Assist with regulatory filings in various jurisdictions
- Act as a liaison between the Compliance and Portfolio Management Departments
- Participate in the continuous review and evaluation of the Compliance Program
- Monitor the evolving investment and trading landscape, adapting the testing program as appropriate
- Stay current with regulatory developments from the SEC and the CFTC/NFA
- Bachelor's or master's degree in Mathematics, Statistics, Engineering, Finance or related field
- Professional certification (i.e., CFA, etc.) or advanced degree, or progression toward appropriate certification/degree is a plus
- Strong interest in financial markets and investment strategies
- 3+ years of experience in investment management industry
- Experience with investment advisory software, including but not limited to, accounting systems, order management systems, FundApps, Bloomberg, etc.
- Excellent analytical, communication, and problem-solving skills
- Strong critical thinking and decision-making skills
- Intellectual curiosity and willingness to learn
Vacancy posted 1 day ago
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