Senior Compliance Officer - Aegon AM
Listed on 2026-01-01
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Finance & Banking
Regulatory Compliance Specialist, Financial Compliance
Job Description Summary
Aegon Asset Management (Aegon AM) is a leading global investor. Our 355 investment professionals manage and advise on assets of US $376 billion for a global client base of pension plans, public funds, insurance companies, banks, wealth managers, family offices and foundations.
We organize our firm around four investment platforms: fixed income, real assets, equities and multi-asset & solutions, which includes a fiduciary and multi-manager business. Each investment platform has dedicated teams with deep asset-class expertise, organized globally and committed to maximizing client benefit from their specialist areas.
We are an international business:
Our 1,125 employees work from 14 locations across Europe, the Americas and Asia. We share a common belief in fundamental, research-driven active management, underpinned by effective risk management and a commitment to responsible investment.
Administers areas of assigned compliance responsibilities to support Aegon Asset Management (Aegon AM) U.S. compliance programs. The role involves serving as lead subject matter expert for certain core investment adviser compliance functions, administering assigned policies, and performing related monitoring to ensure adherence to SEC regulatory requirements and established standards. The role involves serving as lead subject matter expert for certain core investment adviser compliance functions, administering assigned policies, and performing related monitoring to ensure adherence to SEC regulatory requirements and established standards.
Job Description
Administer and manage implementation of the Code of Ethics (e.g., personal trading), Conflicts of Interest (e.g., Gifts & Entertainment, Outside Business Activities, etc.), Political Contributions (“pay-to-play”), Anti-Money Laundering (AML)/Sanctions and other related compliance policies and procedures, utilizing compliance systems as applicable.
Perform surveillance, monitoring and forensic testing of policies to identify, assess and address conflicts of interest, potential violations and regulatory compliance issues. Advise manager of risks and gaps, and recommend corrective actions.
Administer employee compliance certifications and conflicts questionnaires, review related disclosures/reporting and elevate items of interest as appropriate.
Provide advice and guidance related to assigned policies, administer employee training regarding regulatory compliance requirements, and help foster culture of compliance across the firm.
Manage routine and special projects, including compliance monitoring system implementation and related procedures.
Recommend enhancements to policies and procedures, monitoring, disclosures, and risk mitigating controls demonstrating knowledge of applicable regulations and compliance best practices.
Provide management reporting, administer responses to client questionnaires, compile information for regulatory examinations.
Stay abreast of applicable regulatory changes, assist with implementation of new regulatory requirements.
Collaborate closely with team members to drive compliance program enhancements, process and documentation improvements.
Partner with internal stakeholders across the firm and other 2nd line functions (e.g., Risk) as appropriate with regards to risk identification and mitigation.
Bachelor’s degree in business or related field, or equivalent education and experience.
A minimum of five years of relevant work experience in the investment management industry, or equivalent professional experience.
Solid academic background with strong quantitative/analytical skills.
Experience in a highly automated environment and/or high degree of comfort and fluency with computers and technology. ·
Ability to work in a small‑team environment and to work independently, and to multi-task with minimal supervision.
Attention to detail and organizational skills, with the ability to multi‑task deliverables in a fast‑paced environment.
Resilient sense of accountability with a drive for results.
Professional maturity and ability to be discreet in working with highly sensitive…
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