The Compliance Manager will be part of the client solutions compliance team and will play an integral role in supporting client-facing activities for the public markets business. Press space or enter keys to toggle section visibility You will collaborate with the Head of Compliance to play a key role in supporting the client-facing operations of Macquarie Asset Management's public markets division. Press space or enter keys to toggle section visibility • Minimum of 7 to 10 years relevant experience in addition to a Bachelor's degree in finance, business, or a related field • Proficient with relevant SEC and FINRA regulation in addition to the Series 7 and Series 24 licensures • Experience with electronic document management and workflow software/systems such as Admaster Redoak • Experience working in a global environment preferred with a proven track record of developing and managing a team, establishing, and maintaining relationships with key stakeholders, and collaborating with colleagues across functions and geographies • Excellent written and oral communication skills; capable of synthesizing, condensing, and conveying complex regulatory and policy information to key stakeholders in clear and simple terms. Press space or enter keys to toggle section visibility At Macquarie, you're empowered to shape a career that's rewarding in all the ways that matter most to you. Press space or enter keys to toggle section visibility We are committed to providing a working environment that embraces diversity, equity and inclusion.
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