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Compliance Analyst (Control room)
Millennium · Bengaluru, KA,IN
// classified as
Other (Adjacent or hard to classify.)
posted
1d ago
location
Bengaluru, KA,IN
languages
—
tools
excel
> stack
excel
> education
bachelors
> description
Compliance Analyst (Control room)
About Millennium
Millennium is a global, diversified alternative investment firm, founded in 1989. Defined by evolution, innovation and focus, Millennium’s mission is to deliver results for our investors.
Our people are empowered with both independence and support: the autonomy to pursue ideas with conviction and the backing of a global network committed to collaboration, disciplined risk management and continuous learning. With opportunities to deepen expertise and accelerate development, talent at Millennium is equipped to adapt, evolve and build lasting impact over time. Discover how transformative growth accelerates impact.
Meet the Team:
The Firm is seeking a Regulatory Compliance Analyst to join our Compliance Department in the Bangalore, India. The successful candidate will support the APAC Compliance team in coordinating requests, administering compliance processes, and maintaining related records and reporting. They will also assist with policy updates, regulatory tracking, and broader compliance projects and initiatives.
What You'll Do:
* Monitor requests to Compliance and support timely, effective responses.
* Provide coordination and support for program-related requests across the APAC Compliance team.
* Assist with compliance program administration and recordkeeping, including DLP escalations and communications review.
* Prepare periodic reporting and summaries on compliance matters and key activities.
* Support the enhancement of policies and procedures in response to business, regulatory, and compliance developments.
* Track relevant regulatory developments and assist with compliance projects, reviews, and other team initiatives, as needed.
What You Bring:
* Bachelor’s degree (preferably in Business, Finance, Economics, or a related field) with at least 3 years of experience.
* Prior experience in a compliance role at a Registered Investment Adviser (RIA) or Broker-Dealer is preferred.
* Strong understanding of regulatory and self-regulatory agencies (e.g., SFC, MAS and others) and familiarity with key regulations such as the Investment Advisers Act of 1940 and Securities Act of 1933.
* Excellent team player with the ability to prioritize tasks in a fast-paced, high-pressure, and constantly evolving environment.
* Entrepreneurial mindset with the ability to work independently and manage projects effectively.
* Strong interpersonal skills with the ability to collaborate across departments and build effective working relationships.
* Exceptional writing, analytical, and problem-solving skills. Proficiency with various technological applications and tools.
* Broad knowledge of financial products and the financial services industry is a plus. Experience with Microsoft Excel, Word, and PowerPoint.