Job Description
The Senior Compliance Analyst will support the Firm’s regulatory objectives to counter the risk of market abuse, financial crime and/or other conflicts as they may arise
Job Duties
- Deploying market abuse trade surveillance and e-comm’s surveillance tools
- Prepare market abuse risk assessments
- Conduct trade and e-comms monitoring activities
- Work with key stakeholders to identify and investigate suspicious trading activity
- Keep abreast of and update key stakeholders with respect to regulatory developments in the area of market abuse, financial crime, and sanctions
- Conduct “Best Execution” monitoring
- Where required support the implementation of new market abuse trade surveillance and e-comms software
Education, Experience and Skills
Required Education and Experience:
- Experience working in the Financial Sector, preferably at an asset manager or hedge fund
- Surveillance processes essential
Preferred Education and Experience:
- Knowledge in financial products, hedge fund trading strategies and the regulatory environment
- A passion for problem solving and analysing data
Contact Detail:
Austin Andrew Recruiting Team