Regulatory Reporting & Compliance Analyst
About this role
Regulatory Reporting & Compliance Analyst
About this role
The Portfolio Compliance Group (PCG) is a global team within Business Operations Services responsible for implementing controls and processes that help ensure compliance with regulatory requirements and portfolio investment guidelines. The team partners closely with Portfolio Management, Trading, Legal & Compliance, Technology, Client Business, and Operations functions. Within PCG, the Disclosures Reporting team is responsible for monitoring and reporting major shareholdings, short-selling activities, takeover-related disclosures, and other regulatory reporting obligations across global markets. The team also supports reporting obligations to fund boards and external clients.
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