CAAG Control Group Sr Supervisor Job

CAAG Control Group Sr Supervisor (Job Number: 1309964)

BNY Mellon is a global investments company dedicated to helping its clients manage and service their financial assets throughout the investment lifecycle. Whether providing financial services for institutions, corporations or individual investors, BNY Mellon delivers informed investment management and investment services in 36 countries and more than 100 markets. BNY Mellon can act as a single point of contact for clients looking to create, trade, hold, manage, service, distribute or restructure investments. Additional information is available at www.bnymellon.com.

Client Service Delivery manages investment monitoring, measurement and processing services for our clients. Our solutions include Securities Operations, Fund Administration, Transfer Agency, Outsourcing, Performance Measurement and other related services.

Description

The incumbent will supervise a staff responsible for the processing and support of complete, accurate, and timely valuation and financial statements for daily and monthly valued clients. The clients will be a mix of multi-billion dollar institutional relationships. S/He will have complete responsibility for client satisfaction with respect to the cash processing, accounting, valuation, and information delivery aspects of Service Delivery, and will be responsible for the development, implementation, and control of customized services related to those areas. S/he must effectively work with all groups throughout BNY Mellon in order to provide joint solutions to complex client issues. S/He will control/mitigate risk related to investment manager/client trade settlements and cash investment. S/He will ensure that each customer s accounting information is in adherence with all Bank of New York Mellon internal policies as well as all external standard-setting bodies (e.g., the AICPA and FASB) and regulatory bodies (e.g., the DOL and SEC). The incumbent must effectively use his/her knowledge and understanding of our business in order to appropriately manager the risk inherent in our overall business. S/He will be fully responsible for the Performance Management Process for her/his staff and will guide staff through change. S/He will have a significant role in client/prospective client presentations.

Additional responsibilities include:

Support management in the day-to-day Regulatory Reporting for Clients. The initial focus is on Form PF regulatory reporting, but the incumbent is expected to support all client regulatory reporting requirements in future, including, but not limited to, FATCA and AIFMD. Review and analyze regulatory reporting requests received from clients. S/he must effectively work with all groups throughout BNY Mellon and third party providers of information required to satisfy the client regulatory reporting needs.

Qualifications

The qualified candidate will have a Bachelor' degree with concentration in Accounting or Finance preferred. Extensive knowledge of securities/trust accounting theories/practices, as well as annual Form 5500 and other regulatory reporting is required. S/He must be highly proficient with PC applications and our core on-line systems and information delivery tools. S/He must possess excellent analytical and communication skills, and be able to manage effectively under pressure while adhering to strict and constantly changing deadlines. Superior supervisory, interviewing, organizational, presentation, and leadership skills are required. This position requires 9+ years of relevant securities/trust experience, including some supervisory/management experience.

Primary Location: United States-USA-MA-Everett
Internal Jobcode: 07930
Job: Asset Servicing
Organization: Global Client Service Delivery-HR06406

August 19, 2013 • Tags: , • Posted in: Financial

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