Description
Summary:
The Ares Compliance Department oversees and manages Ares’ global regulatory compliance and ethics program. Under the leadership of the Global Chief Compliance Officer, the Compliance Department is comprised of functionally and business-aligned teams that operate collaboratively based on the Firm’s overall structure: Investment Advisory, which oversees implementation of investment management, trading and conflicts policies; Marketing & Distribution, focusing on global marketing and investor relations, including compliance for Ares’ registered broker-dealers; Registered Products, which oversees the compliance for advised and sub-advised registered funds and public companies; Corporate Compliance, which administers the Code of Conduct and oversees the global testing and surveillance program; AML-CTF, which develops and administers Ares’ Global Anti-Money Laundering and Counter-Terrorism Financing Program; and Compliance Operations and Regulatory Reporting, which oversee the department’s operational and reporting functions with a focus on regulatory reporting and management of strategic initiatives.
Ares is seeking a knowledgeable, highly organized, and proactive Associate Vice President to join our Control Room Compliance team focused on information conflicts management, monitoring list administration, and trade and investment clearance. This Associate Vice President will actively participate in the management of daily processes, support departmental and team projects and build relationships with employees across the enterprise while ensuring compliance obligations are met.
Primary Functions & Responsibilities:
1. Assist with the daily review of conflicts checks for incoming deals and with daily information management program activities.
2. Clear the execution of new deal NDAs by liaising with legal teams internally and with outside counterparties.
3. Execute wall crossing and market sounding process for new deals.
4. Maintain the firm’s restricted list and other conflicts monitoring lists.
5. Update and maintain Compliance policies and procedures as needed.
6. Demonstrate a strong understanding of issuer/borrower hierarchy and research via Bloomberg.
7. Partner with the Trading Compliance team to ensure proper operation of the Compliance trading program.
8. Oversee and analyze reporting and analytics generated by offshore team.
9. Assess conflicts of interest and participate in materiality analyses regarding MNPI, borrower restricted, syndicate private and confidential information.
10. Perform internal process reviews and quality checks.
11. Support and initiate special projects and ad hoc tasks as required.
12. Escalate issues effectively and on a timely basis to the appropriate levels of management.
13. Participate in ongoing technological enhancements for the benefit of the Control Room and the Compliance department.
14. Assist with the global testing program.
Technology Skills:
15. Working knowledge of financial instruments including but not limited to: private equity and credit, alternative and structured products, bank loans, high yield debt, equities, and real assets.
16. Knowledge of Bloomberg
17. Advanced Excel
18. Project Management
19. Time Management
Soft Skills:
20. Strong interpersonal, relationship-building and negotiation skills
21. Anticipates potential issues/opportunities and takes proactive measures
22. Excellent verbal and written skills
23. High level of intellectual curiosity
24. Collaborative team player
25. Comfortable in a fast-paced environment and managing multiple tasks at once
26. Ability to manage up
27. Analytical
28. Driven and self-directed
29. Highly organized
30. Ability to communicate effectively with all levels of management
31. Diplomacy
32. Client service oriented
33. Ability to see “big picture”
34. Positive attitude
35. Effective at conflict management
36. Sound judgment and able to act with discretion, particularly regarding confidential matters
Education:
37. Bachelor’s Degree Required
Experience Required:
38. 7-10+ years of experience at a global investment adviser or investment bank - Control Room or conflicts management experience required
39. Experience with credit-based strategies, including private equity, private debt and equity, and capital markets activities
40. Familiarity with SEC regulatory review and interpretation of regulations
41. Analytical report generation/creation
42. Ability to work independently and interact effectively with all levels of management
43. Organizational skills and demonstrated ability to manage competing priorities
44. Experience partnering successfully with business and investment colleagues and aptitude for working effectively in a large organization and with institutional clients
45. Ability to maintain a professional demeanor in both routine and highly charged environments adapt responses appropriately to each situation
46. Experience working with an offshore service provider considered a plus
47. Maintain a strong commitment to quality and attention to detail, ensuring that the work product is delivered completed, accurately and on-time
Reporting Relationships
Principal, Compliance
There is no set deadline to apply for this job opportunity. Applications will be accepted on an ongoing basis until the search is no longer active.