Full-Time

VP – Investment & Trading Compliance

Updated on 5/15/2025

AQR Capital Management

AQR Capital Management

501-1,000 employees

Global investment management firm offering diversified strategies

Compensation Overview

$155k - $175k/yr

+ Bonus

Senior, Expert

Company Historically Provides H1B Sponsorship

Greenwich, CT, USA

Category
Quantitative Analysis
Quantitative Research
Quantitative Finance
Required Skills
Bloomberg
Requirements
  • Bachelor’s degree and 5+ years of related experience
  • Strong knowledge of equity and derivative instruments
  • Knowledge of alternative investment strategies
  • Thorough understanding of the markets and applicable laws, rules and regulations
  • Advanced knowledge of guideline monitoring/surveillance software and Bloomberg
  • Willingness to learn new and complex investment methodologies
Responsibilities
  • Research, interpret and advise the teams about compliance with applicable investment and trading laws, regulations and guidance
  • Develop a close working relationship with Portfolio Managers and Traders, and provide clear, sound advice to all groups across AQR
  • Draft/edit written policies and procedures to respond to business/regulatory changes or to launch new business lines
  • Coordinate with key stakeholders on ESG matters; assist in implementation of proxy voting policy
  • Monitor adherence to client guidelines, offering documents, internal parameters, and statutory requirements for private funds, separately managed accounts and registered products (e.g., 40 Act Funds, UCITS Funds)
  • Implement and/or refine monitoring measures to identify/address issues on a “real time” basis and assist with resolution
  • Respond to regulatory inquiries from US and foreign financial authorities
Desired Qualifications
  • CFA, CAIA, or FRM a plus
AQR Capital Management

AQR Capital Management

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AQR Capital Management provides investment management services by combining technology, data analysis, and insights from behavioral finance. The firm offers a variety of investment strategies that are based on a consistent set of principles, aiming to achieve reliable long-term results. AQR primarily serves institutional investors such as pension funds, insurance companies, and sovereign wealth funds, as well as financial advisors and their clients. The company differentiates itself from competitors by using both qualitative and quantitative methods to develop and test their investment models, ensuring a systematic approach to portfolio construction, risk management, and trading. AQR's goal is to deliver value through well-designed investment solutions that enhance the performance of their clients' portfolios.

Company Size

501-1,000

Company Stage

N/A

Total Funding

N/A

Headquarters

Greenwich, Connecticut

Founded

1998

Simplify Jobs

Simplify's Take

What believers are saying

  • AQR's innovative research attracts clients interested in cutting-edge financial theories.
  • Recognition as a 'Best Place to Work' helps attract top talent and reassure clients.
  • Active investment strategy in diverse companies promotes dynamic portfolio management.

What critics are saying

  • Popularity of structured notes may divert investors from AQR's strategies.
  • Investments in volatile companies like Redwire could expose AQR to higher risks.
  • Over-diversification may dilute AQR's ability to manage each investment effectively.

What makes AQR Capital Management unique

  • AQR combines financial theory with practical application for superior investment results.
  • The firm uses quantitative tools to process fundamental information and manage risk.
  • AQR's systematic, research-driven approach sets it apart in the investment management industry.

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Benefits

Health Insurance

Dental Insurance

Vision Insurance

401(k) Retirement Plan

Paid Vacation

Company News

Forbes
Apr 25th, 2025
Amid Market Chaos, Downside Protection Securities Beloved By Brokers Are Booming

Structured Notes and Buffer funds are sleep-well-at-night products designed to protect investors from market drops. Brokers and nervous investors love them, despite their complexity and fees.Talk to any financial advisor these days, and he or she is likely to have a strong opinion about something known as “structured notes.” These complex products are sold as the “have your cake and eat it” investments of the wealth management world. Their specialty is flexibility –some are geared toward growth and others toward income. Returns are generally capped and in all cases the goal is to limit downside risk. They are manufactured by big banks like JPMorgan using derivatives, and are often sold as “stock market-linked” with “sleep well at night” protection. They come with various maturities, typically ranging from six months to five years, provide principal protection and sometimes offer annual yields of 10% or more.Up until the last few years, structured notes were mostly the domain of hedge funds and other sophisticated investors or ultra-wealthy clients

AQR Capital Management
Mar 20th, 2025
AQR's "The Less Efficient Market Hypothesis" Wins "Outstanding Article" Recognition in 26th Annual Bernstein Fabozzi/Jacobs Levy Awards

AQR's "The Less Efficient Market Hypothesis" Wins "outstanding article" Recognition in 26th Annual Bernstein Fabozzi/Jacobs Levy Awards.

MarketBeat
Feb 14th, 2025
Redwire Co. (NYSE:RDW) Shares Sold by SG Americas Securities LLC

AQR Capital Management LLC purchased a new stake in Redwire in the 2nd quarter worth approximately $89,000.

Slater Sentinel
Jan 27th, 2025
Avantis Emerging Markets Equity ETF (NYSEARCA:AVEM) Shares Purchased by Foundations Investment Advisors LLC

AQR Capital Management LLC acquired a new stake in Avantis Emerging Markets Equity ETF in the 2nd quarter valued at about $309,000.

MarketBeat
Jan 12th, 2025
Mativ Holdings, Inc. (NYSE:MATV) Stake Boosted by Barclays PLC

AQR Capital Management LLC acquired a new stake in Mativ in the second quarter valued at $778,000.