Portfolio Compliance Manager

1 Financial Center, Boston, MA 02111, États-Unis ● Londres, Royaume-Uni ● Singapour ● Utrecht, Pays-Bas Numéro de demande 73
3 octobre 2024

About the Role

 

Loomis Sayles has implemented the Charles River Compliance System (“CRD”) to automate its compliance with its clients' guidelines and restrictions.  This is an extremely important area within the organization, and it is a capability that differentiates Loomis Sayles from many of our competitors.

 

The Portfolio Compliance Manager will be an integral part of the legal and compliance department, primarily responsible for coding, monitoring and maintaining client investment guidelines for Loomis Sayles client accounts in the Charles River Compliance System ("CRD") and working with investment professionals to resolve guideline exceptions. Additional responsibilities include oversight of compliance specialists to ensure timely and appropriate responses to CRD alerts. The Portfolio Compliance Manager must be familiar with analyzing new client guidelines and amendments thereto and ensuring the accuracy and timeliness of rule coding in CRD. The Portfolio Compliance Manager must be very familiar with all fixed income and equity instruments, and complex securities and derivatives.

 

About the Team

 

Loomis Sayles has established a Guideline Compliance Team within its Legal and Compliance Department whose primary responsibility is to code client guidelines in CRD and to monitor the Portfolio Managers’ compliance with the guidelines that have been coded in the system. The team is primarily located in Boston with a few employees located in offshore offices. 

 

 

 Job Responsibilities

 

  • Comment on new and amended proposed guidelines during the Client Intake process
  • Code new and amended guidelines in CRD
  • Validation of guideline coding in CRD
  • Oversee Compliance Specialists and assist as necessary to ensure timely and appropriate responses to CRD Alerts
  • Work with members of the investment teams (Portfolio Managers, Portfolio Specialists, and/or Client Service Representatives) to cure guideline issues in a manner consistent with Loomis’ fiduciary duty to its clients
  • Work closely with Portfolio Managers and Client Service Representatives to seek guideline clarifications, amendments, and waivers from clients as necessary
  • Provide staff with training and guidance
  • Ad hoc compliance projects as necessary

Qualifications & Education Requirement

 

  • Bachelor’s degree in a business-related field.  MBA preferred.
  • At least 8-10 years investment adviser guideline compliance experience is required
  • 3 – 5 years supervisory experience (experience in managing employees) is required
  • Must have ability to work both independently and in a team environment to work effectively with other members of the Legal and Compliance Department and other departments within Loomis Sayles
  • Extensive rule coding knowledge of CRD is required
  • Strong knowledge of fixed income securities, equities and derivatives is required
  • Must have exceptional follow up skills to ensure guideline issues are resolved in a timely manner to reduce Loomis Sayles’ market risk
  • Must have good judgment in knowing when to raise issues to the Director of Portfolio Compliance
  • Must have ability to prioritize work in order to efficiently meet all deadlines
  • Knowledge of the Investment Company Act of 1940 and the Investment Advisers Act of 1940 is required
  • Strong computer skills, including competence with Excel and Word
  • Strong knowledge of equity and fixed-income securities, prior experience with derivatives
  • Demonstrated analytical ability

 Loomis Sayles Benefit Overview 

Autres détails

  • Famille d'emplois Legal and Compliance
  • Fonction professionnelle Legal and Compliance
Location on Google Maps
  • 1 Financial Center, Boston, MA 02111, États-Unis
  • Londres, Royaume-Uni
  • Singapour
  • Utrecht, Pays-Bas