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Director Institutional Sales and Trading Surveillance

7.00 to 8.00 Years   Mumbai City   25 Feb, 2020
Job LocationMumbai City
EducationNot Mentioned
SalaryNot Disclosed
IndustryBanking / Financial Services
Functional AreaSecurities TradingSales / BD
EmploymentTypeFull-time

Job Description

* FirmMorgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. The Firms employees serve clients worldwide including corporations, governments and individuals from more than 1,200 offices in 43 countries.As a market leader, the talent and passion of our people is critical to our success. Together, we share a common set of values rooted in integrity, excellence and strong team ethic. Morgan Stanley can provide a superior foundation for building a professional career - a place for people to learn, to achieve and grow. A philosophy that balances personal lifestyles, perspectives and needs is an important part of our culture. Division LCD comprises of Legal, Compliance, Global Financial Crimes and Regulatory Relations.The Legal Department provides guidance, requirements and procedures for understanding and complying with the laws, regulations and Firm policies that apply to our businesses.The Global Compliance Department identifies applicable Compliance Obligations and maintains a Firmwide Compliance Risk management program, including Compliance Risks that transcend business lines, legal entities and jurisdictions of operation. Global Financial Crimes is responsible for the development and governance of the Firm s financial crime prevention efforts across all regions and business units. Global Financial Crimes is comprised of the Anti-Money Laundering (AML), Sanctions, Anti-boycott, Anti-Corruption (ACG) and Government and Political Activities Compliance (GPAC) programs.The Global Regulatory Relations Group (GRRG) is responsible for strategic and centralized management of the supervisory activities of Morgan Stanley s regulators and related developments globally, with a focus on regulatory reviews and examinations and continuous monitoring activities. GRRG serves as the central point of contact for the regulatory staff responsible for supervisory activities at Morgan Stanley entities and for timely reporting to Firm management and other governance or management bodies, as appropriate, on those relationships and supervisory processes, including areas of significant regulatory focus or concern. LCD Center of Excellence Mumbai (LCD CoE) is a part of Morgan Stanley s Global In-house Center, which provides global support to LCD and is an integral part of Firm and LCD strategy. Team: Institutional Sales and Trading SurveillanceInstitutional Sales and Trading Surveillance team perform an independent monitoring of Compliance reports that look for breaches to internal policies and/or regulatory requirements by traders or institutional clients. The examples of patterns captured by the reports are:Firm trader front running a client order; andMarking the closing price, *Primary Responsibilities (Day Job)

  • The Trade Surveillance Director will have several areas of responsibility including, but not limited to, following:
  • Review and analyze trade surveillance reports/ alerts, and sign off alert completion related to employee, client and firm trading activities;
  • Conduct investigations on irregularities and abnormal activities and document findings;
  • Perform deep dive analysis of frequently appearing clients / traders.
  • Handle queries on alerts / process from team members.
  • Assist in performing supervisory reviews of scenarios reviewed by the team.
  • Escalate unresolved issues or potential violations of the Morgan Stanley s policies or external rules and regulations to his/her Manager, Coverage Compliance and Senior Management of Business Units.
  • Lead by example and guide junior members in the team;
  • Assist senior management in managing the team and streamlining the review process.
Interaction with IT
  • Work with IT and / or vendors in enhancing/ developing new tools;
  • Participate in testing/ requirement drafting of new models/reports; and
  • Assess adequacy and effectiveness of surveillance and enhance existing surveillance models.
RequirementsExperience
  • 7+ years of relevant working experience in the financial services industry in Compliance or Internal Audit or with a securities exchange or securities regulator;
  • Excellent knowledge about financial instruments;
  • Knowledge of SMARTS and Actimize monitoring tool is desired;
  • Preference will be given to candidates with relevant experience in Trade Surveillance.
Knowledge
  • Possess excellent knowledge of financial instruments and markets.
  • Basic understanding and knowledge of trading mechanisms across different financial instruments/ markets.
  • Should possess knowledge of trade booking and settlements.
Skills and Qualities
  • Industry qualifications i.e. Post Graduate / MBA in Finance.
  • Knowledge of global markets / market regulations.
  • Understanding the implications of risk involved.
  • Excellent verbal and written English communication skills ability to effectively correspond with various groups and senior professionals over email and the telephone.
  • Strong analytical Skills and attention to detail.
  • Experience interpreting laws or regulations.
  • Knowledge of trade booking and settlements.
  • Must be able to maintain a high level of organization under pressure.
Coverage
  • Monday to Friday from 09.00AM to 6.00PM India time with flexibility on standard working hours for time sensitive matters (including India Public Holidays).

Keyskills :
institutionalsales continuousmonitoring communicationskills analyticalskills financialinstruments crimeprevention investmentbanking investmentmanagement riskmanagement regulatoryrequirements ntimoneylaundering

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