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Investment Services Public Markets, or ISPM, is an integrated team that provides investment service support for public market investment activities strategically and tactically. The team is responsible for business management functions for all public market investment strategy groups, as well as GIC's global trade operations, custody control and asset servicing such as income entitlements, mergers and acquisitions and other corporate events of our underlying investments, futures and derivative operations, collateral management, pricing and rates, market data and rebalancing operations. The coverage extends across a spectrum of products such as equities, bonds, money market, foreign exchange, futures, collateralized securities and other derivatives.
We are currently looking for a Vice President / Senior Vice President to enhance our Regulatory Reporting & Investment Compliance capabilities. The Regulatory Reporting & Investment Compliance (RRIC) team is responsible for supporting GIC's compliance with the relevant regulatory reporting requirements and investment restrictions / limits in all applicable jurisdictions arising from the investment activities of the public and private markets.
Implementation of front to back controls and processes to support GIC's compliance with the applicable regulatory reporting requirements and trading / investment restrictions.
Assess the impact on existing systems, controls and processes when new or existing regulatory reporting requirements and restrictions are issued or updated respectively.
Initiate, drive and coordinate change management activities to ensure compliance with any new regulatory requirements and restrictions.
Create, maintain and oversee an effective, efficient and sustainable process for necessary regulatory filings.
Promptly and proactively escalate to the relevant internal stakeholders any issues that impact GIC's ability to comply with the applicable regulatory reporting requirements and restrictions.
Maintain good working knowledge of regulations and industry best practices.
At least 10 years of working experience, preferably within Operations or Regulatory Compliance
Well versed in all financial products across all asset classes.
Good understanding and overview of regulatory reporting and investment monitoring requirements.
Possesses strategic thinking and leadership skills.
Possesses strong communication skills and able to effectively engage multiple stakeholders.
Experience with establishing and meeting critical deadlines, as well as tracking and driving execution.
Ability to manage multiple projects concurrently.
Bachelor's degree in either Accounting/Finance, Business, Legal or a similar field.