Associate / Associate level 1
Associate / Associate level 1
Reference12358550
- Permanent
- IN-Maharashtra-Mumbai
- COMPLIANCE
About BNP Paribas Group:
BNP Paribas is a top-ranking bank in Europe with an international profile. It operates in 71 countries and has almost 199 000 employees. The Group ranks highly in its three core areas of activity: Domestic Markets and International Financial Services (whose retail banking networks and financial services are grouped together under Retail Banking & Services) and Corporate & Institutional Banking, centred on corporate and institutional clients. The Group helps all of its clients (retail, associations, businesses, SMEs, large corporates and institutional) to implement their projects by providing them with services in financing, investment, savings and protection. In its Corporate & Institutional Banking and International Financial Services activities, BNP Paribas enjoys leading positions in Europe, a strong presence in the Americas and has a solid and fast-growing network in the Asia/Pacific region.
About BNP Paribas India Solutions:
Established in 2005, BNP Paribas India Solutions is a wholly owned subsidiary of BNP Paribas SA, a leading bank in Europe with an international reach. With delivery centers located in Bengaluru, Chennai and Mumbai, we are a 24×7 global delivery center. India Solutions services three business lines: Corporate and Institutional Banking, Investment Solutions and Retail Banking for BNP Paribas across the Group. Driving innovation and growth, we are harnessing the potential of over 6000 employees, to provide support and develop best-in-class solutions.
About Business line/Function :
ISPL Compliance Hub is focused to protect the reputation of the Group and effectively manage risk across all business areas. At present the compliance function is broadly organized into divisions which embed into the areas they support to provide services but not limited for Global Compliance training, Capital Markets Surveillance, Electronic Communications Surveillance, Personal Account Dealing, Compliance KYC hub, etc.
Job Title:Senior Associate Date:NA
Department:
ISPL Compliance Hub
Location:
Mumbai
Position Purpose
Personal account dealing is part of the compliance unit of the investment bank. it is responsible for monitoring of all employee trading activities and also to prevent employees from trading on, or the appearance of trading on, material non-public information and to ensure accordance with the Firm’s Personal Account Dealing(PAD) policies
Responsibilities
Direct Responsibilities
· Check employee personal trading requests in accordance with the Firm’s Personal Account Dealing(PAD) policies
· Respond to employee queries (via telephone and email) regarding personal account dealing
· Update new joiner, leaver and change of personal accounts on the PAD database
· Issue email request staff completing their declaration
· Chase outstanding staff declaration
· Collect staff’s account and holding declaration
· Issue account opening approval letter
· Scan and file staff’s declaration and approved account opening letter
· Conduct reconciliation between the account movements and the dealing approval
· Update results of the reconciliation
· Chase outstanding statements from sensitive staff concerned
· Flag exceptions on dealing approval
· Scan and file the reconciled account statements
Contributing Responsibilities
· Prepare MIS reports for management on a regular basis
· Prepare report of PAD monitoring
· Support creation of Internal and Ad-hoc reports in a timely manner
· Support audit, compliance testing and regulatory requests for information
· Monitor local personal account dealing processes to identify areas for improvement
· Assist with the implementation of new/revised processes and systems
· Handle special projects and/or other duties as assigned by Management
Technical & Behavioral Competencies
· Excellent communication skills (written and verbal) and interpersonal skills with an ability to interact with all levels of management and staff
· Good knowledge of financial products, the securities industry, and awareness of financial regulatory environment
· Able to work both independently and as part of a team
· Willingness to sometimes work outside normal business hours or on public holidays to meet reporting obligations
· Ability to comprehend issues and breaches in a timely manner and raise it to the relevant stakeholders without any delay
· General understanding of the associated risks
· Strong ability to meet deadlines
Specific Qualifications (if required)
· Professional level knowledge of securities and banking regulation.
· Fluent reading proficiency in English.
· Minimum 3 years of relevant compliance and or financial product experience
· Comfortable user of Microsoft Office (i.e. Outlook, MS Excel; Word, Visio, powerpoint)
Skills Referential
Behavioural Skills:
Ability to collaborate / Teamwork
Decision Making
Organizational skills
Ability to deliver / Results driven
Transversal Skills:
Analytical Ability
Ability to develop and adapt a process
Ability to develop others & improve their skills
Ability to understand, explain and support change
Ability to manage a project
Education Level:
Bachelor Degree or equivalent