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Disclosure of Interest Compliance Advisory
Company | Morgan Stanley |
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Location | Baltimore, MD, USA |
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Salary | $80000 – $135000 |
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Type | Full-Time |
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Degrees | |
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Experience Level | Mid Level, Senior |
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Requirements
- Understanding of relevant regulatory approach in USA and the Americas (with particular reference to SEC, FINRA and Fed), with broad understanding of the global regulatory approach
- Understanding of the business model and operational setup of a global financial institution, including regulatory structure, business mix, investment structures and booking models and equity-related products
- Experience in identifying and interpreting changes to relevant laws or regulatory guidance, analyzing and communicating impact to stakeholders
- Ability to review and challenge proposals to ensure that there has been adequate consideration of regulatory requirements
- Ability to track and interpret industry trends
- Ability to work with global colleagues to develop and implement global standards and frameworks for governance and management of regulatory obligations
- Ability to build relationships of trust with members of the Legal and Compliance Division and stakeholders from business units and support and control functions
- Excellent analytical, program management numerical and data skills
- Excellent communication skills, both oral and written
- Detail oriented and good memory skills
- Ability to work independently and drive projects and initiatives
- Ability to remain focused under pressure
- Ability to perform multiple tasks simultaneously
- Confidence to use own initiative and apply judgment
- Strong desire to learn new subject matter
- Excellent interpersonal skills, confidence, and credibility
- The ability to work very effectively within an organization and communicate with senior and junior business and control function personnel
Responsibilities
- Monitoring, tracking, and documenting regulatory changes according to the Firm’s Enterprise Minimum Standard Procedure (ERMF) across all regulations covered by the team
- Conducting annual reviews of updates to the aosphere Shareholding Disclosure (DOI) memoranda, jurisdiction reviews, and providing updates to Operations’ rule traceability matrix
- Partnering with DOI Ops to focus on large position concentrations, trade pre-clearance and monitoring, large position reporting obligations under Sections 13 and 16 of the Exchange Act, various US state and sensitive industry regulations, and issuer-specific limits, as well as other Americas jurisdictions, including Brazil, Canada, Mexico, and Argentina
- Providing oversight of DOI Ops programs to ensure satisfactory regulatory compliance across all in-scope entities, asset classes, products, and related processes, such as booking models and management agreements in relation to the wide range of relevant securities, industry and corporate issuer regulations
- Periodically reviewing Operations policies and procedures to ensure they meet regulatory obligations and overseeing necessary changes
- Developing expertise to provide real-time advice across all primary and secondary coverage areas, supporting the team leads and becoming a substantive SME
- Serving as an escalation point for incidents impacting the Firm’s regulatory obligations
- Advising Technology and Data to enhance relevant Firm systems for regulatory requirements
- Conducting testing and monitoring, leveraging the Compliance Testing Team for comprehensive initiatives
- Reviewing Internal Audit and Compliance Testing findings, developing remediation plans, and monitoring execution
- Providing training for new and existing rules and processes
- Supporting projects with data analytics expertise
- Participating in Industry working groups
Preferred Qualifications
No preferred qualifications provided.