Morgan Stanley's Investment Management Compliance Department is seeking a senior compliance officer to join the Public Side Advisory Compliance team, which covers Morgan Stanley Investment Management's ('MSIM') business lines that invest in public markets. This role will specifically cover equities and multi-asset investment teams, including portfolio management, trading and research personnel. This seat is in a highly dynamic atmosphere that requires a successful balance of quick and comprehensive advice. Daily tasks will be primarily related compliance and regulatory risks associated with buy side investment activity and will aid in the Firm's compliance with applicable laws, regulations, and relevant policies and procedures. In addition to business stakeholders, this individual may w
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