Compliance Specialist
4 weeks ago
The Compliance Specialist will be involved in various aspects of an ever-changing regulatory landscape within the Compliance Team of a global asset management firm. This individual will be primarily responsible for working closely with our marketing and distribution groups to ensure compliance in our marketing and distribution efforts and producing compliance-related reporting (internal and client-facing). This individual will also be involved in special projects as they arise. This role will work closely with senior members of the Compliance team to build out or enhance processes to understand and be in alignment with regulatory expectations.
Location: Milwaukee, WI
Responsibilities
The candidate can expect to:
* Interpret and apply knowledge of rules and regulations to correspondence, sales literature, advertisements, institutional material, RFPs, and other types of communication to ensure compliance with applicable regulations
* Review complex materials in a timely manner, communicate comments effectively and work with business partners for creative solutions to issues
* Assist with documentation of various policies, procedures, and memos
* Assist with annual compliance testing and surveillances, including the use of the Firm's trade surveillance tool
* Research and respond to internal and external compliance-related inquiries
* Draft and review compliance-related responses to RFPs
* Prepare documentation for due diligence meetings, compliance meetings and regulatory examinations
* Actively participate in various compliance group projects and initiatives
* Develop working knowledge of various Artisan systems and business operations
Qualifications
The successful candidate will possess strong analytical skills and attention to detail. Additionally, the ideal candidate will possess:
* Bachelor's degree in Finance, Accounting, Economics, or Business Administration, or equivalent financial industry experience
* 5+ years in the financial services industry; asset management preferred
* Knowledge of SEC and FINRA rules relating to the marketing of U.S. mutual and private funds
* Knowledge of Non-U.S. rules relating to the marketing of UCITS and private funds is a plus
* Knowledge of equity and fixed income markets, trading practices, and related instruments
* FINRA SIE, 7 and 24 licenses or ability to obtain them or an equivalent combination within six months of hire
* Proficiency in Microsoft Office Applications, strong Excel skills (required)
* Experience working with Red Oak AdMaster, Charles River, Bloomberg, Aladdin, ACA Market Abuse Surveillance, Global Relay, or Tableau a plus
* Ability to make independent judgments and handle confidential information
* Strong written communication skills
* Ability to demonstrate resourcefulness, creativity, and initiative by identifying opportunities to enhance existing processes and implementing, as appropriate
* Ability to prioritize and meet multiple deadlines with a sense of urgency
* Solid interpersonal and communication skills, including a high degree of client service-mindedness
Privacy Notice for California Applicants
Artisan Partners Limited Partnership is an equal opportunity employer. Artisan Partners does not discriminate on the basis of race, religion, color, national origin, gender, age, disability, marital status, sexual orientation or any other characteristic protected under applicable law. All employment decisions are made on the basis of qualifications, merit and business need.
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