Prudential Ins Co of America
Director Compliance PGIM Fixed Income (Finance)
PGIM Fixed Income, a division of PGIM Inc., an SEC-registered investment adviser, Commodity Trade Adviser and business unit of Prudential Financial, is seeking a Compliance Director with expertise in Fixed Income and related investment advisory and investment company regulation to assist the Fixed Income Compliance Team in overseeing a full range of regulatory matters that arise in connection with our Fixed Income asset management activities. PGIM Fixed Income has over $920 billion in assets under management as of June 30, 2020, with a broad array of fixed income strategies and client types including institutional separate accounts, sub-advised mutual funds, CLOs, offshore and onshore commingled and separate client accounts.
PGIM Fixed Income has a strong commitment to its customers, including mutual fund investors, corporations, public retirement funds, Taft-Hartley plans, sovereign wealth funds, insurance companies, foundations, and endowments. Qualified candidates will be expected to be knowledgeable about applicable CFTC and/or SEC regulations and building compliance processes and associated policies and procedures necessary to support a compliance program.
Principal Responsibilities:
Promote Prudential's reputation for ethics and integrity.
Address regulatory compliance issues relating to Fixed Income fund investment and product development, including private fund regulation and related compliance issues
Review and advise the regulatory filing process
Conduct compliance risk assessments
Execute and manage team projects
Participate in new product development and product launches;
Monitor and advise on new Regulations and related policy and compliance activity,
Partner with the business to draft, update and implement new Fixed Income policies, procedures and processes,
Work with the regulatory team to manage internal and regulatory audits for Fixed Income investment adviser
Establish regulatory processes and controls and recommend and implement enhancements based on new business initiatives
Qualifications:
Ten plus years of asset management compliance experience, with demonstrated expertise in Fixed Income products, markets, strategies and the laws and rules applicable to Fixed Income Portfolio Management
Working knowledge of the Investment Advisers Act of 1940, the Investment Company Act of 1940, ERISA, the Securities Act of 1933 and Securities Exchange Act of 1934
Substantial experience with regulatory and investment issues facing financial institutions
Senior level communication skills
Experience with Fixed Income markets
Confident self-starter with demonstrated ability to manage conflicting priorities with varying deadlines
Experience in managing complex regulatory filings and communications
Experienced with rules, regulations and policy issues of the CFTC, NFA and FINRA relating to Fixed Income Investment Management
Insurance or trust bank experience useful
JD and/or CFA a plus
Openness to new ideas and seeks opportunities to learn
Professional skepticism in assessing appropriateness, objectivity and independence
Understand key business risks, marketplace and regulatory environment