Job Description
We are working with a derivatives trading house who have recently launched a retail CFD platform and is looking to build out its compliance function.
Responsibilities
- Monitor regulatory compliance (FCA, MiFID II, ESMA) across trading operations.
- Maintain and execute the Compliance Monitoring Program (CMP).
- Oversee AML/KYC controls and support regulatory reporting.
- Liaise with regulators and internal stakeholders on compliance matters.
Requirements
- 3–5 years experience in financial services compliance (CFD/FX preferred).
- Strong knowledge of UK/EU regulations and AML frameworks.
- Relevant certification (e.g., ICA, CISI) preferred.
- Excellent analytical and communication skills.
Contact Detail:
Black Swan Group Recruiting Team