Job Title: Head - Investment Compliance & Controls Monitoring
Job Function: Asset Management
Job Sub Function: Controls Office
Reports to: Director – Asset Management
Business Area: Asset Management
The Head of Investment Compliance is a senior leadership role accountable for Controls Monitoring, Market Abuse Monitoring and covering the end-to-end investment compliance capability. The capability includes client mandate interpretation, rule coding, pre- and post-trade monitoring, breach management, governance reporting, and continuous control enhancement across portfolios/funds managed by the Asset Management business.
Operating within the Global Controls Monitoring capability in the COO/Global Controls environment, the role provides strategic direction, oversight, and leadership to ensure investment activity and holdings remain compliant with client guidelines, prospectus/IMA constraints, house policies, and applicable regulatory requirements, supported by robust systems, data, and operating processes. The role also provides 1st line assurance of controls through continuous controls monitoring along with ensuring compliance with market abuse regulation of trades executed.
This is a techno-functional leadership position, requiring strong buy-side asset management domain depth alongside the ability to shape and drive a modern, scalable compliance monitoring and coding function (e.g., Aladdin and related ecosystems), market abuse monitoring, controls monitoring and partner effectively with global stakeholders.