Invesco Global Asset Management Inc

Sr. Compliance Officer

Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 5-7 years of experience in regulatory compliance within financial services
  • Bachelor's degree in a relevant field
  • Background in compliance, legal, or audit with asset management exposure
  • Familiarity with SEC, CFTC, NFA, and FINRA regulations
  • Proficiency in Microsoft Office suite
  • Knowledge of securities regulations and trading systems like Bloomberg or Charles River

Responsibilities

  • Lead and ensure timely preparation and submission of regulatory reports
  • Collaborate with teams to address and respond to regulatory inquiries
  • Oversight of documenting and updating compliance procedures as necessary
  • Prepare and submit substantial shareholder disclosures by deadlines
  • Address compliance issues regarding trading strategies and technology controls
  • Support documentation for compliance reviews and regulatory processes
  • Collaborate with the global compliance team on monitoring and testing activities

Benefits

  • Comprehensive benefits package
  • Support for professional development and continuous learning
  • Collaborative corporate culture
  • Commitment to community engagement and social responsibility
  • Flexible work arrangements in alignment with workplace policy
Full Job Description
Job Description

The Role:

This position will be an integral part of the implementation and maintenance of a robust global regulatory reporting department for Invesco, Ltd. The incumbent will support the corporate mission statements by assisting the U.S. business operations with respect to compliance and applicable state, federal and self-regulatory agency requirements, and assist business operations globally with respect to major shareholding regulatory reporting requirements. As a Senior Compliance Officer, you will be primarily responsible for ensuring that the company's business complies with applicable rules and regulations, regulatory requirements, internal company policies and ethical standards. You will provide support and advice across various departments and will support Compliance requirements related to the CFTC-registered Commodity Pool Operator, Commodity Trading Adviser, Form PF and global Substantial Shareholder reporting as required.

Responsibilities of the Role:
• Lead the preparation of regulatory and compliance reports and ensure they are filed timely and correctly.
• Collaborate with business partners to respond to regulatory inquiries.
• Oversight to document compliance procedures and modify as required.
• Prepare and submit accurate substantial shareholder disclosures by the due date.
• Address day to day compliance issues related to trading strategies and the application of technology related controls created and applied during this process by the Compliance department.
• Prepare documentation to support reviews conducted and to substantiate and demonstrate adequate processes/controls to meet SEC/regulatory requirements and ensure compliance with all policies and procedures.
• Interact with members of the global compliance team to assess, document, monitor, report, develop, coordinate, and implement various compliance monitoring activities, ongoing testing, and related controls.
• Support the department's strategic direction in alignment with the department and Company's mission.

Requirements of the Role:
• Experience with the regulatory environment (SEC, CFTC/NFA, FINRA).
• Bachelor's degree in a relevant field of study is required.
• A compliance/legal or audit background with exposure to regulatory reporting in the Asset Management industry is a plus.
• Experience with SEC, FINRA, CFTC, NFA, FCA, PRA and familiarity with disclosure of interests/substantial shareholding globally.
• Knowledge of Securities Act of 1933, 34 and Securities Exchange Act of 1940.
• Familiarity with trading systems and their compliance component such as Bloomberg, or Charles River is a plus.
• Knowledge of securities regulation, as it relates to operations within the financial services industry preferred
• Working knowledge of back-office operations, financial services industry and securities laws/regulations are a plus.
• Proficiency in the Microsoft Office suite of applications is required.

Full Time / Part Time

Full time

Worker Type

Employee

Job Exempt (Yes / No)

Yes

Workplace Model

Pursuant to Invesco's Workplace Policy, employees are expected to comply with the firm's most current workplace model, which as of October 1, 2025, includes spending at least four full days each week working in an Invesco office. This reflects our belief that spending time together in the office helps us build stronger relationships, collaborate more easily, and support each other's growth and development.

The above information on this description has been designed to indicate the general nature and level of work performed by employees within this role. It is not designed to contain or be interpreted as a comprehensive inventory of all duties, responsibilities and qualifications required of employees assigned to this job. The job holder may be required to perform other duties as deemed appropriate by their manager from time to time.

About Invesco Global Asset Management Inc

Invesco Ltd. is an American independent investment management company that is headquartered in Atlanta, Georgia, with additional branch offices in 20 countries. Its common stock is a constituent of the S&P 500 and trades on the New York stock exchange. Invesco operates under the Invesco, Trimark, Invesco Perpetual, WL Ross & Co and Powershares brand names.
Learn more about Invesco Global Asset Management Inc
Size
8,549 employees
Market Cap
$8.2 billion
Industry
Net Income
$761.6 million
Founded
1935
5 Year Trend
+7.8%
Revenue
$6.1 billion
NASDAQ

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