As a Sr. Compliance Analyst, you will support the execution of Symetra Investment Management (“SIM”) Compliance program. You’ll be a part of the strategic development and maintenance of client investment guideline surveillance program. Interfacing with the portfolio management/trading teams to address potential guideline violations during the course of the trading day. Contribute to the firm’s analysis, drafting and testing of firm's compliance policies and procedures. Own responsibility for the completion and filing of certain regulatory filings. Complete client compliance reporting and other ad hoc projects associated with maintaining a compliance program of a registered investment advisor.
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Job Type
Full-time
Career Level
Mid Level