Compliance Analyst - Mutual Funds

Neuberger Berman Group LLC

$80K — $110K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 1-3 years of compliance experience focusing on federal securities laws, ideally investment management compliance
  • Bachelor's degree required; a graduate degree is advantageous
  • Experience with SEC regulations and asset management sector
  • Knowledge of compliance for registered funds, including ETFs
  • Familiar with alternative investment products and related regulations
  • Strong communication skills for preparing presentations for senior management
  • Detail-oriented with excellent interpersonal skills

Responsibilities

  • Support general compliance matters and projects for registered funds, including compliance surveillance
  • Assist with oversight of mutual funds, ETFs, and closed-end funds' compliance matters
  • Prepare compliance-related board reports and communication materials
  • Aid in implementing and administering compliance programs under Investment Company and Advisers Acts regulations
  • Act as a compliance resource for various fund support areas across the organization

Benefits

  • Paid time off
  • Medical, dental, and vision insurance
  • Retirement plan
  • Life insurance
  • Discretionary bonuses
  • Comprehensive benefits package for eligible employees
Full Job Description
The Compliance Analyst - Mutual funds position will report to the Chief Compliance Officer of Neuberger Registered Funds, including exchange traded funds ("ETF"). The primary responsibility of the position will be to focus on registered fund related compliance matters.

Responsibilities:
  • Provide support on general compliance matters and projects related to the registered funds business, including compliance surveillance activities related to employee emails, investment guideline alerts and various fund related policies under Rule 38a-1 and Rule 206(4)-7 compliance programs
  • Assist with various compliance matters and oversight of mutual funds, ETFs and exchange traded and non-exchange traded registered closed end-funds, including compliance matters related to the launch of ETFs and other registered funds
  • Assist the Chief Compliance Officer - Registered Funds in preparing various board reports and communications for proprietary and/or sub-advised funds including monthly, quarterly and annual compliance checklists and documentation
  • Assist in the administration of compliance programs adopted pursuant to Rule 38a-1 of the Investment Company Act and Rule 206(4)-7 of the Investment Advisers Act; assist the Chief Compliance Officer - Registered Funds with the implementation of the programs, related quarterly and annual assessments, preparation of reports and summaries
  • Serve as a resource on compliance matters to the various fund support areas (Fund Administration, Shareholder Servicing, Risk, Guideline Oversight/ Business Control, Legal.)


Qualifications:
  • 1-3 years of compliance experience related to the federal securities laws, preferably investment management compliance experience
  • Bachelor's degree, graduate degree a plus
  • SEC regulatory, consulting or other asset management experience within the financial services industry
  • Familiarity with regulatory requirements for registered funds, including exchange-traded funds ("ETFs")
  • Familiarity with alternative investment products and co-investment regulations a plus
  • Ability to work well in a team structure involving both business and support functions
  • Experience working with and preparing materials for presentation to Boards of Directors and/or other senior management
  • Experience working within a firm with diverse businesses (e.g., broker-dealer, investment adviser, investment companies preferred)
  • Experience with portfolio management systems and/or compliance monitoring systems for use in monitoring and reporting account activity; Knowledge of compliance tools such as Aladdin, Perform or similar portfolio compliance monitoring system a plus
  • Ability to interact with internal and external clients and service providers (e.g., law firms, auditors, external administrators) in the review and development of an effective review of compliance across all client accounts
  • Demonstrated analytical ability, strong written and oral communication skills
  • Excellent interpersonal skills--ability to interact with all levels of staff including senior management
  • Must be detail oriented


LI-MB1

LI-Hybrid
Applicants must be authorized and have the right to work in the country where the role is located without the need for current or future sponsorship.

Compensation Details

The salary range for this role is $80,000-$110,000. This is the lowest to highest salary we in good faith believe we would pay for this role at the time of this posting. We may ultimately pay more or less than the posted range, and the range may be modified in the future. This range is only applicable for jobs to be performed in the job posting location. An employee's pay position within the salary range will be based on several factors including, but limited to, relevant education, qualifications, certifications, experience, skills, seniority, geographic location, business sector, performance, shift, travel requirements, sales or revenue-based metrics, market benchmarking data, any collective bargaining agreements, and business or organizational needs. This job is also eligible for a discretionary bonus, which, along with base salary and retirement contributions, is part of our total comprehensive package. We offer a comprehensive package of benefits including paid time off, medical/dental/vision insurance, retirement, life insurance and other benefits to eligible employees.

Note: No amount of pay is considered to be wages or compensation until such amount is earned, vested, and determinable. The amount and availability of any bonus, commission, production, or any other form of compensation that are allocable to a particular employee remains in the Company's sole discretion unless and until paid and may be modified at the Company's sole discretion, consistent with the law.

Similar Jobs

More Jobs at Neuberger Berman Group LLC

More Finance & Insurance Jobs

Find similar Compliance Analyst - Mutual Funds jobs: