BU Compliance - Senior Associate

State Street

Bengaluru

On-site

INR 900,000 - 1,500,000

Full time

10 days ago
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Benefits offered by this job

Inclusive development opportunities
Flexible work-life support
Volunteer days

Job summary

State Street Bengaluru is seeking an Investment Compliance professional to analyze client requirements, extract restrictions, and translate rules into system logic in collaboration with coding teams. The role emphasizes accuracy, regulatory interpretation, and cross-functional collaboration.

You will conduct annual reviews of compliance matrices, respond to ad-hoc queries, and ensure ongoing monitoring for adherence to guidelines.

Qualifications

  • Bachelor’s or Master’s degree in finance, accounting, or related field.
  • 2–4 years of experience in Investment Compliance / Asset Management.
  • Strong knowledge of investment guidelines (UCITS, ’40 Act, RIA regulations).
  • Experience with compliance monitoring systems (Sentinel/CRD).
  • Familiarity with derivatives and other financial instruments.
  • Proven ability to interpret rules and prospectuses.
  • Excellent analytical, problem-solving, and communication skills.
  • Proficient in Excel; automation knowledge is a plus.

Responsibilities

  • Analyze client requirements, prospectuses, and investment mandates to extract compliance restrictions.
  • Liaise with clients to obtain additional information required for rule interpretation and setup.
  • Work closely with internal coding teams to translate compliance rules into system-based logic.
  • Perform annual reviews of compliance matrices against updated prospectuses/SAIs.
  • Support ad-hoc queries from compliance reporting teams to assess portfolio adherence to guidelines.
  • Ensure accurate implementation and maintenance of rules for daily and monthly compliance monitoring.

Skills

Attention to detail
Ownership & accountability
Analytical thinking
Communication skills

Education

Bachelor’s or Master’s degree in finance or accounting

Tools

Sentinel
CRD
Excel

Job description

Key Responsibilities


  • Analyze client requirements, prospectuses, and investment mandates to extract compliance restrictions.

  • Liaise with clients to obtain additional information required for rule interpretation and setup.

  • Work closely with internal coding teams to translate compliance rules into system-based logic.



Compliance Rule Setup


  • Analyze client requirements, prospectuses, and investment mandates to extract compliance restrictions.

  • Liaise with clients to obtain additional information required for rule interpretation and setup.

  • Work closely with internal coding teams to translate compliance rules into system-based logic.



Compliance Monitoring & Reviews


  • Perform annual reviews of compliance matrices against updated prospectuses/SAIs.

  • Support ad-hoc queries from compliance reporting teams to assess portfolio adherence to guidelines.

  • Ensure accurate implementation and maintenance of rules for daily and monthly compliance monitoring.



Regulatory Interpretation & Advisory


  • Demonstrate strong domain knowledge in investment compliance.

  • Interpret complex regulatory requirements and translate them into actionable compliance rules.

  • Provide guidance on treatment of instruments (e.g., derivatives) for compliance tests.



Stakeholder Management & Coordination


  • Act as a key liaison between clients, counterparts, reporting teams, and business units.

  • Collaborate with COEs, Client Service, and Operations teams for seamless delivery.



Risk Management & Process Improvement


  • Identify operational risks and recommend procedural improvements.

  • Ensure adherence to SOPs while driving enhancements where required.

  • Escalate potential compliance issues and ensure timely resolution.



Team & Oversight Responsibilities


  • Ensure timely completion of daily deliverables and ad-hoc requests.

  • Participate in projects, onboarding initiatives, and process improvement forums.



Required Qualifications & Skills


  • Bachelor’s/master’s degree in finance, Accounting, or related field.

  • 2–4 years of experience in Investment Compliance / Asset Management.

  • Strong knowledge of:


    • Investment guidelines (UCITS, ’40 Act, RIA regulations)

    • Compliance monitoring systems (e.g., Sentinel/CRD preferred)

    • Financial instruments including derivatives


  • Proven experience in:


    • Rule/Prospectus interpretation

    • Strong analytical and problem‑solving skills.


  • Excellent communication and stakeholder management abilities.

  • Proficiency in Excel; automation knowledge is an added advantage.



Key Competencies


  • Attention to detail and accuracy

  • Strong ownership and accountability

  • Collaboration and leadership mindset

  • Process improvement and innovation orientation



About State Street

Across the globe, institutional investors rely on us to help them manage risk, respond to challenges, and drive performance and profitability. We keep our clients at the heart of everything we do, and smart, engaged employees are essential to our continued success.


We are committed to fostering an environment where every employee feels valued and empowered to reach their full potential. As an essential partner in our shared success, you’ll benefit from inclusive development opportunities, flexible work-life support, paid volunteer days, and vibrant employee networks that keep you connected to what matters most. Join us in shaping the future.


As an Equal Opportunity Employer, we consider all qualified applicants for all positions without regard to race, creed, color, religion, national origin, ancestry, ethnicity, age, disability, genetic information, sex, sexual orientation, gender identity or expression, citizenship, marital status, domestic partnership or civil union status, familial status, military and veteran status, and other characteristics protected by applicable law.


Job ID: R-797966

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