Associate Compliance Manager
Invesco · Hyderabad, Telangana
Invesco · Hyderabad, Telangana
As one of the world’s leading independent global investment firms, Invesco is dedicated to rethinking possibilities for our clients. By delivering the combined power of our distinctive investment management capabilities, we provide a wide range of investment strategies and vehicles to our clients around the world. If you're looking for challenging work, intelligent colleagues, and exposure across a global footprint, come explore your potential at Invesco. Job Description Who we are? With over $2.1 trillion of assets under management, Invesco is one of the world’s leading global investment management firms, headquartered in Atlanta, GA. Spreading across 26 countries and with over 8400 dedicated employees, we are driven by trust and care. As one of the world’s leading asset managers, we are solely dedicated to delivering an investment experience that helps people get more out of life. If you're looking for challenging work, thoughtful colleagues, and a global employer with social values, explore your potential at Invesco. Your Team Global Regulatory Reporting (GRR) team is a sub function of Global Compliance team. GRR team will monitor prepare and file regulatory reports/disclosures for specific areas, perform analytical and monitoring activities and conduct other applicable projects/assignments as required. Your Role • Monitoring/reviewing of daily, weekly, monthly, and quarterly reports. • Prepare documentation to support reviews conducted and to substantiate and demonstrate adequate processes/controls to meet regulatory requirements and ensure compliance with all policies and procedures. • Analyze the data and prepare documentation to support substantial shareholding reporting to meet global regulatory requirements. • Understanding regulatory requirements in America’s regions and act steps to meet all the compliance performance metrics. • Review the substantial shareholdings documents being prepared to meet the Global regulatory reporting requirements. • Be able to handle new countries’ substantial shareholding, monitoring and reporting independently as required based on the updated regulations. • Stay current of all regulatory changes related to reporting thresholds, reporting deadlines, updated/new disclosure forms to be used occurring in various countries across USA and ensure update procedures and applications to reflect the changes accordingly. • Interact with members of the global compliance and legal teams to assess, document, monitor, report, develop, coordinate, and implement various compliance monitoring activities, ongoing testing and related controls. • Support, mentor, coach and guide the team, including day-to-day people management, workload prioritization, performance support, feedback, development planning and capability building. • Able to take appropriate decisions to handle the business. • Participate in compliance related projects and responsibilities. • Identify and review requests from external parties and determine appropriate responses for such requests, this includes requirements from various departments and business units too. • Assist in resolving queries with regional/global compliance teams. • Work with global functional counterparts to ensure consistency of service delivery. • Monitor new processes/functions and changes to existing processes and procedures. • Handle responsibility for ensuring consistent day-to-day production is achieved by the team through effective resource planning, task allocation, coaching and follow-up. • Provide people leadership by fostering an inclusive, collaborative and high-performing team environment, supporting onboarding, knowledge sharing, talent development and succession readiness. • Engage in cross-functional initiatives, as required, to promote Continuous Improvement initiatives. • Proactively seek and research solutions to compliance issues related to data issues, filling gaps in collating required details for monitoring and reporting as they arise. • Respond to basic, intermediary, and advanced/complex questions/queries from other teams independently and report to senior managers for escalation. • Total relevant work experience of 10-15 years required with investment advisor or mutual fund group in Compliance or regulatory environment. The Experience You Bring • Knowledge of Financial products and Mutual fund industry • Knowledge of regulatory requirements • Understanding of regulatory changes and new reporting requirements • Good analytical skills and attention to detail • Excellent interpersonal skills to work effectively with a network of colleagues spread across different time zones. • People management experience, including team leadership, mentoring, coaching, performance enablement, workload management and development of team members. • Proficiency in MS Office • Strong written and verbal communication skills • A positive attitude and willingness to learn. • Open to flexible working hours • Familiarity with trading systems and compliance components such as Charles River, Bloomberg would be given preference. Academic requirements • Bachelors or Master's (preferred) degree in Commerce / Finance Full Time / Part Time Full time Worker Type Employee Job Exempt (Yes / No) <p style="text-ali