Your Opportunity
At Schwab, you're empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us "challenge the status quo" and transform the finance industry together.
We believe in the importance of in-office collaboration and fully intend for the selected candidate for this role to work onsite in one the specified locations.
The Investment Guidelines Oversight Manager will be part of Schwab Asset Management (SAM). The overall SAM team is passionately committed to providing solutions that help Schwab clients achieve their financial goals. The Manager role will embody SAM's deep commitment to providing the highest fiduciary standards to our clients and funds' shareholders. Our clients can place the utmost trust and confidence in SAM to manage their money because we provide the fiduciary expertise and resources that our investment teams need in order to act in our clients' best interest.
It is the mission of the Investment Guidelines Oversight team to protect our shareholders and clients' interests by collaborating with partners across SAM, implementing best practices designed to detect, prevent, and mitigate potential breaches of investment guidelines. Our group manages and maintains the investment guidelines for all Schwab proprietary Mutual Funds, ETFs, Collective Trusts, and Separately Managed Account products. In addition to managing the guidelines, we also work to apply guidelines to their respective portfolios by ensuring proper oversight and compliance.
The Investment Guidelines Oversight Manager is responsible for monitoring trading activities of portfolio managers and sub-advisors to ensure compliance with agreements and investment guidelines. The ability to code compliance tests using compliance platforms such as Aladdin, or equivalent, is an important aspect of the position. The Manager will ensure that compliance tests are correctly and accurately coded, implemented and appropriately monitored. The Manager will also focus on supporting compliance rule validation and reporting requirements.
This role requires partnering with functional areas within SAM including Compliance, Legal, Portfolio Management, Investment Risk, Trade Operations, Product Management, Investment Manager Research, Program Management and Vendor Oversight. A key function of this role is the continued analysis of workflows and recommendation for process improvements along with capabilities to work independently on complex problem-solving initiatives. This role includes responsibility to stay abreast of regulatory changes and relevant industry changes/trends and implementing those changes on a go forward basis. This is an individual contributor role.
Primary responsibilities include:
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