Portfolio Risk Control Analyst
Job Description
Job Description SummaryJob Description
The Portfolio Risk Control Analyst role sits within the wider Global Risk and Compliance team. The role performs day to day monitoring of investment, client and regulatory restrictions across all Client and Fund portfolios managed by Aegon AM on a pre and post trade basis. Ensuring any exceptions identified are followed through to resolution and where practicable forewarned to reduce exception incidence.
You will interact directly with a variety of stakeholders on all aspects of investment restriction monitoring. You will be responsible for providing a quality-service delivery experience by responding to queries, resolving issues, and participating in client on-boarding meetings.
You will perform controls that help to ensure Aegon AM NLsโ products comply with relevant regulatory requirements including UCITS and AIFMD. In addition to investment restriction monitoring, you will be responsible for preparation and submission of breach reporting.
Responsibilities:
- Interpret investment management guidelines, set up corresponding compliance rules in our compliance management system (Aladdin), and monitor ongoing compliance with guidelines.
- Monitoring and controlling pre and post-trade mandate compliance, investigating any issues through to resolution.
- Bring excellent interpersonal, problem solving and analytical skills, with the ability to constructively challenge Portfolio Manages.
- Preparation and submission of internal and external breach reporting.
- Maintain a positive, proactive relationship with internal and external customers.
- Partner with the Compliance and Enterprise Risk to coordinate corrective action for regulatory violations and other issues impacting the business.
- Feel energized by success and building good working relations, through interactions with business units including Investment, Legal, Compliance, Portfolio Risk Management, the Portfolio Managers, Asset Specialists, and other investment partners on investment compliance related issues and projects
- Complete other related duties and special projects as assigned
ย Required Qualifications:
- A minimum of 3 years related securities/compliance background within insurance, investment banking/asset management
- Degree in accounting, finance, or related field required. Graduate degree may be substituted for up to two years of experience
- Demonstrated understanding of fixed income and other investment instruments
- Analytical, problem recognition and resolution, organizational, and communication skills with attention to detail and accuracy
- Ability to independently prioritize and work on multiple high priority projects and assignments simultaneously
- Ability to interpret investment management guidelines and assist business unit in establishing processes to comply
- Strong computer skills, including proficiency with Microsoft Excel and Access
- General understanding of regulatory environments including the insurance and investment industry, rating agencies, and UCITS and AIFMD regulation.
- Ability to communicate effectively both orally and in writing with a broad range of audiences including investment professionals and senior management
- Strong customer service skills, with a focus on continuous improvement
Preferred Qualifications:
- Experience in the institutional securities industry preferred to be within the functional areas investment operations, investment compliance, or compliance audit in an asset manager, insurance or banking institution or regulatory agency.
- A working knowledge of Blackrock Aladdin Compliance System.
- Preferably experience using Power BI.
- Experience with alternative fixed income strategies is valuable.
Aegon Asset Management is a leading global investor. Our 385 investment professionals manage and advise on assets of US $337 billion for a global client base of pension plans, public funds, insurance companies, banks, wealth managers, family offices and foundations.
We organize our firm around four investment platforms: fixed income, real assets, equities and multi-asset & solutions, which includes a fiduciary and multi-manager business. Each investment platform has dedicated teams with deep asset-class expertise, organized globally and committed to maximizing client benefit from their specialist areas.
We are an international business: Our 1,160 employees work from 13 locations across Europe, the Americas and Asia. We share a common belief in fundamental, research-driven active management, underpinned by effective risk management and a commitment to responsible investment.
What will you be getting?
- Compensation level depend upon an applicantโs qualifications and will be determined by hiring supervisors/managers and HR;
- Plenty of scope and budget for your personal and professional development;
- A good pension scheme.
- By Q2 2025 Aegon will move to our new office at Schiphol WTC.
ย
Interested? Apply!
Are you interested in joining our Team? We look forward to receiving your resume and motivation letter. Then make sure you apply immediately! Do you have some more questions? Send an email to Talent Acquisition via [email protected].
ย
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Equal Opportunity Employer:
Aegon Asset Management aims to be an employer of choice in the financial services industry. As a global company, we offer excellent terms of employment, a very diverse and inspiring work environment, and development opportunities.
Date Posted
10/05/2024
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