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Fixed Income Compliance Officer, San Francisco, CA
Fixed Income Compliance Officer
Company: Barclays Global Investors (US)  
Location:   San Francisco, CA  
Compensation:   Market Rate  
Years Experience:   10-15 yrs  
Position Type:   Employee  
Employment type:   Full time  
Updated:   10 Oct 2008  
eFC Ref no:   428117  
 


The Fixed Income Compliance Officer will be required to partner with the U.S. Fixed Income business to work proactively to maintain, enhance and develop a robust fixed income compliance framework and program.

Job Responsibilities

  • Responsible for compliance activities for BGI’s U.S. Fixed Income group including Hedge Funds, Active and Index Strategies, and structured transactions, such as CDOs.
  • The breadth of compliance activities includes trading-related oversight, portfolio guideline testing, oversight of ERISA-related account restrictions and regulatory requirements, etc.
  • Must have extensive fixed income product knowledge as well as structured products and credit derivatives including CDOs, MBS, and ABS.
  • Extensive interaction with U.S. Fixed Income portfolio management and trading teams and Legal department.
  • Provide regulatory guidance on fixed income investment transactions and monitor compliance with investment guidelines and restrictions.
  • Ensure appropriate controls and policies and procedures are in place for current fixed income business as well as new fixed income business initiatives.
  • Establish policies and procedures in accordance with regulatory requirements and firm policy; update existing compliance policies and procedures when necessary.
  • Conduct compliance training for fixed income business personnel.
  • Participate in related fixed income industry trade groups with intent of having an impact on how the regulatory environment is developing.
  • Assist with coordination and management of regulatory exams.
  • Special projects as required.

    Qualifications

  • 10+ years experience in fixed income compliance, legal or regulatory functions. Minimum advanced degree (MBA/JD) and/or professional designation beneficial. Must have prior experience in designing, implementing and supervising fixed income related compliance activities.
  • Candidate should have excellent organizational, negotiating and inter-personal skills; should be solutions driven, confident, highly motivated and organized team player with impeccable integrity.
  • Candidate should have extensive experience with portfolio management and trading floor personnel.
  • Candidate should be able to act decisively and independently in situations requiring quick analysis and decision making.
  • Candidate must be able to work NYSE and/or bond market-hours if/when necessary.
  • Excellent written and verbal communication skills are also required.

    To apply, upload a resume to the following URL:

    https://barclays.recruitmax.com//main/careerportal/candidate_update.cfm?szOrderID=4282

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    Barclays Global Investors (US)

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    Company:
    Barclays Global Investors (US)
    Website:
    www.barclaysglobal.com
    Recruiter Ref:
    SW - 4282

    All jobs from
    Barclays Global Investors (US)

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