Join our team to build your career in a culture that values innovation, creativity and excellence.
As a Fund Servicing Analyst within the Securities Services Operations , you will be exposed to a wide gamut of financial products, including Equities, Fixed Income securities and Complex Assets. You will be responsible for interpreting guidelines, building investment rules, investigating potential violations. You will also be responsible for conducting preliminary performance analyses of investment portfolios including basic attribution analysis, exposures, and rates of return against objectives. In the course of your work, you will be partnering with the investment manager and/or the client to assess their needs and provide solutions.
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Compliance Reporting Services (CRS) is one of the largest providers of post-trade compliance reporting services to some of the largest Asset owners and Asset managers globally. Our service enables clients to efficiently detect and manage violations of their investment rules, facilitating risk reduction and demonstrating industry best practices. Our mission is to support our clients - investment process by providing market leading services across the investment risk, return, analytics and post-trade investment compliance spectrum.
Performance and Risk Analytics (PRA) supports the bank's institutional asset owner and asset manager clients with technologies that provide insights into the result of their investment decisions throughout the investment lifecycle. This is achieved through various analytical tools and reports including performance measurement, attribution and contribution analysis, risk analysis and other value-added services such as portfolio optimization and manager analysis.
Job responsibilities
- Interpret guidelines & investment mandates to build logic-based rules for compliance monitoring.
- Understand client requirements on prospectus / rule changes and implement them on the platform.
- Analyze investment exceptions which includes analysis of portfolio holdings, composition, historical transactions & data to verify compliance.
- Close exceptions on the compliance platform through communication with the client/fund manager for true exceptions and upstream teams for data / coding gaps.
- Conduct preliminary performance analyses of investment portfolios including basic attribution analysis, exposures, and rates of return against objectives.
- Assist in the onboarding of new clients and participate in service reviews, due diligence meetings, and RFI/P presentations as needed.
- Prepare & deliver manual regulatory and client reports. Maintain accurate and timely reporting for clients, ensuring data integrity and resolving basic workflow exceptions. Participate in client calls for projects undertaken.
- Monitor and ensure all Client Mailbox queries are resolved with a sense of urgency and rule coding requests are being routed to be worked upon per timelines.
- Participate in new client onboarding process by providing functional expertise and keep clients abreast on any tactical changes.
Required qualifications, capabilities, and skills
- Proficiency in relevant software applications and systems used for post-trade compliance monitoring and reporting
- Exhibit knowledge of asset management industry including operation of mutual and pension funds.
- Have a good understanding of complex instruments, fixed income and equity products.
- Analytical skills to create logic-based investment rules and high standard of accuracy and strong attention to detail
- Good organization skills - ability to prioritize workloads and adhere to stringent timelines.
- Good communication & interpersonal skills to build relationship with internal and external stakeholders.
Preferred qualifications, capabilities, and skills:
- Experience in post-trade compliance roles within investment banks or asset management firms.
- Working knowledge in guideline coding on compliance systems e.g., Charles River, Sentinel, Aladdin
- Fair knowledge of global regulatory requirements impacting post-trade activities e.g., UCITS, IRS, 1940 Act, Money market regs, etc.
- Certification course in CRD, SOX, 1940 Act, European regulations preferred.
- Working knowledge in FactSet tool
- Bachelor's degree in Business, Finance, Mathematics, Statistics or related field with minimum 3 years' work experience in financial services industry, Mutual fund, Stock broking or related industry.
ABOUT US
JPMorganChase, one of the oldest financial institutions, offers innovative financial solutions to millions of consumers, small businesses and many of the world's most prominent corporate, institutional and government clients under the J.P. Morgan and Chase brands. Our history spans over 200 years and today we are a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing and asset management.
We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. We also make reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs. Visit our FAQs for more information about requesting an accommodation.
ABOUT THE TEAM
J.P. Morgan's Commercial & Investment Bank is a global leader across banking, markets, securities services and payments. Corporations, governments and institutions throughout the world entrust us with their business in more than 100 countries. The Commercial & Investment Bank provides strategic advice, raises capital, manages risk and extends liquidity in markets around the world.