As a Compliance Analyst at Invesco, you will be responsible for monitoring investment guidelines, identifying and analyzing investment restrictions, and ensuring compliance with regulations. You will work with the global compliance team to assess, document, monitor, and report on compliance monitoring activities. The role requires 2-4 years of experience in investment compliance and a good understanding of capital markets, financial products, and asset management industry.
Requirements
- 2-4 years of work experience in investment compliance
- Good understanding of capital markets, financial products, and asset management industry
- Knowledge of and experience with 40 Act Funds, Multi-Asset Funds, Equity/Fixed Income/ETF Products
- Experience with regulatory environments such as SEC, 1940 Act, NI 81-102
- Excellent communication and interpersonal skills
- Strong analytical skills and attention to detail
- Ability to work both independently and as well as a team
- Effective computer skills
- Flexibility and adaptability
Benefits
- Competitive Compensation
- Flexible, Hybrid Work
- 30 days' Annual Leave + Public Holidays
- Life Insurance
- Retirement Planning
- Group Personal Accident Insurance
- Medical Insurance for Employee and Family
- Annual Health Check-up
- 26 weeks Maternity Leave
- Paternal Leave
- Adoption Leave
- Near site Childcare Facility
- Employee Assistance Program
- Study Support
- Employee Stock Purchase Plan
- ESG Commitments and Goals
- Business Resource Groups
- Career Development Programs
- Mentoring Programs
- Invesco Cares
- Dress for your Day