
at BNY Mellon
Asset ManagementPosted 12 days ago
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**Senior Specialist, Compliance & Control:** Lead securities trading compliance, focusing on transaction monitoring. Review alerts, provide policy guidance, ensure records, escalate critical items, and collaborate with compliance officers. Gain insight from industry knowledge and excel proficiency. Prior experience in financial services or compliance required.
- Compensation
- Not specified
- City
- Not specified
- Country
- Not specified
Currency: Not specified
Full Job Description
In this role, youll make an impact in the following ways:
- Supports day-to-day Securities Trading Conduct compliance efforts, with a focus on transaction monitoring.
- Review and investigate employees transaction monitoring alerts in a timely manner, ensuring adherence to the Policy
- Provide guidance to employees on the Personal Securities Trading Policy
- Ensure adequate records are maintained when closing alerts
- Review any escalated items and if required, escalate items
- Ensure employees transfer reportable accounts to an approved broker
- Work with the business compliance officers as required during escalation process
- Attend meetings and workshops as required in relation to the Personal Securities Trading Policy
Assist with ad-hoc projects as required
To be successful in this role, were seeking the following:
- Knowledge of the financial services industry, U.S. securities markets, investment instruments, and compliance concepts
- Strong analytical skills, problem-solving ability and attention to detail;
- Experience in Financial Services, Audit or Compliance background
- Technical skills, particularly proficiency in Excel
- Excellent interpersonal skills and a collaborative mindset



