Jobs · Finance · Ohio

Senior Regulatory Compliance Analyst

SS&C Technologies · Dublin, OH · 1 wk ago
HybridFinanceFull-time

Job Title

About the role

SS&C is a leading financial services and healthcare technology company headquartered in Windsor, Connecticut, with 27,000+ employees in 35 countries. SS&C supports complex financial and health care operations through proprietary technology and deep industry expertise.

Responsibilities

  • Principal review and approval of sales and advertising literature for assigned funds
  • Research regulations and industry developments and create reports for use by ALPS
  • Develop subject-matter expertise and train others across department and ALPS' client base
  • Other broker-dealer compliance related activities as may be requested
  • Research and summarize new regulations
  • Maintain and coordinate procedural updates and other information
  • Other compliance related activities as may be requested

Requirements

  • Bachelor’s degree or equivalent
  • Registered Fund advertising review product knowledge
  • Experience in the principal review of mutual fund, ETF and private fund sales material
  • Knowledge of SEC, FINRA, and other regulatory requirements related to broker-dealers and financial institutions
  • Experience in compliance or similar role within the mutual fund and/or broker-dealer industries, or equivalent
  • Series 7 and 24 required
  • Advanced computer skills, including Microsoft Office (i.e. Word, Excel, PowerPoint, etc)
  • Ability to manage multiple tasks simultaneously
  • Ability to work with little supervision
  • Ability to travel as needed
  • Excellent verbal and written communication skills with strong ability to communicate with a wide and varied internal and external audience
  • Willing to work on site 6 days/month

Qualifications

  • Must have Registered Fund advertising review product knowledge
  • Must have experience in the principal review of mutual fund, ETF and private fund sales material
  • Must demonstrate knowledge of SEC, FINRA, and other regulatory requirements related to broker-dealers and financial institutions
  • Must have experience in compliance or similar role within the mutual fund and/or broker-dealer industries, or equivalent
  • Must have Series 7 and 24 required
  • Must have advanced computer skills, including Microsoft Office (i.e. Word, Excel, PowerPoint, etc)

Skills

  • Ability to research new and existing regulations and clearly summarize

Benefits

  • Medical, dental, and vision coverage
  • 401(k) plan with company match
  • Paid time off, holidays, and parental leave
  • Professional development reimbursement opportunity

Pay

  • Details TBD

Schedule

  • Details TBD

Application Instructions

Applications will be accepted on an ongoing basis until the position is filled. Click here to apply.

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