
Investment Analytics & Trade Monitoring Manager
- New York City, NY
- $127,626-237,014 per year
- Permanent
- Full-time
- Trade Oversight Program: Develop Compliance Trade Oversight Program by leading, configuring, and overseeing the design, implementation and administration of the firm’s Order Management System/Portfolio Management System to mitigate the regulatory, operational and market risks associated with regulatory and individual investment guideline requirements.
- Develop and Implement Workflows: Between Order Management System/Portfolio Management System and other applications utilized by Portfolio
- Management team: Manage and train additional analysts covering investment guideline requirements
- Trade Violation Review: Implement and monitor pre- and post-trade violations in a real-time environment through collaboration with the Investment Management and Trading teams. Conduct inquiries of violations and following up through resolution.
- Procedure Development: Develop procedures in coordination with Investment Management teams, IT/Programmers, Operations, Legal and Compliance
- IT Coordination: Coordinate with IT department on system updates and improvements.
- Design and Develop Rules System: Review and interpret new account guidelines; code new accounts in Charles River and maintain the library of compliance rules. Design, test and implement new rules.
- Mitigate Risks: Related to, for example, front-running, circular/wash trading, cross trading, insider trading, price manipulation, improper order handling, concentration limit violations, and securities journaling.
- Reporting: Develop and implement quarterly, monthly, and daily reporting.
- Ad Hoc Projects: Coordinate special projects between members of the CNR Investment Analytics and Monitoring team, the business and IT.
Required Qualifications*
- Bachelor's Degree or equivalent
- Minimum 7 years’ experience in financial services industry with demonstrated hands-on experience implementing order management system (experience with Charles River system preferred)
- Strong understanding of variety of financial products and derivatives including equities, fixed income, mutual funds, exchange traded funds, etc.
- Understanding of trading workflows including pre-trade and post-trade compliance rules subject to SEC, FINRA, ERISA, and banking regulatory frameworks.
- Proven leadership skills mixed with a propensity towards strong organization and time management skills required.
- Demonstrated experience managing a team
- Must possess the ability to recognize and communicate enhancement opportunities along with developing creative and sound solutions within assigned duties.
- Excellent oral and written communication skills with all levels of management required.
- Computer proficiency in Microsoft applications of Outlook, Word, Excel, PowerPoint, Access and Project required.
- Experience communicating and interacting with regulatory agencies, including exam management and other regulatory affairs.
- Experience with a financial institution such as a broker/dealer and/or registered investment adviser.
- Experience working within a Compliance Investment Management role.
- Comprehensive healthcare coverage, including Medical, Dental and Vision plans, available the first of the month following start date
- Generous 401(k) company matching contribution
- Career Development through Tuition Reimbursement and other internal upskilling and training resources
- Valued Time Away benefits including vacation, sick and volunteer time
- Specialized health and family planning benefits including fertility benefits, and cancer, diabetes and musculoskeletal support programs
- Career Mobility support from a dedicated recruitment team
- Colleague Resource Groups to support networking and community engagement