Compliance Officer

Compliance Officer

Full-Time 60000 - 80000 £ / year (est.) No working from home possible
Hartree Partners

At a Glance

  • Tasks: Implement compliance programs and provide ongoing training in a dynamic trading environment.
  • Company: Join Hartree Partners, a leading global commodities firm with a growth mindset.
  • Benefits: Competitive salary, hybrid work model, and outstanding career development opportunities.
  • Other info: We value potential and encourage all qualified applicants to apply.
  • Why this job: Make a real impact by safeguarding compliance in a fast-paced, global setting.
  • Qualifications: Experience in trading compliance and strong communication skills are essential.

The predicted salary is between 60000 - 80000 £ per year.

We have an opportunity for someone to join us as a Compliance Officer in a truly global environment, supporting Hartree’s Partners’ EMEA businesses, with a strong focus on Hartree’s global agriculture trading businesses, based in London. The role represents an exciting opportunity to provide ongoing compliance training to the business and to work with various functions across the business to support the development and implementation of compliance projects. This role requires a high level of independence of judgment and integrity. As Compliance Officer, you are expected to form and express objective views, including in situations where they may challenge business priorities. You will operate with direct access to senior traders and are expected to raise concerns transparently and without hesitation when needed. The role provides long-term development potential for someone eager to demonstrate their skills and experience in the fast‑paced soft commodities environment. The Compliance function at Hartree is built on independence of mind, integrity, and accountability. The Compliance Officer is not only an advisor to the business but also a safeguard of the Group’s standards and long‑term interests.

This requires the ability to:

  • Take positions based on facts and regulations, even when they are not aligned with short‑term commercial objectives.
  • Challenge decisions constructively and elevate when necessary.
  • Operate with a high degree of professional scepticism and critical thinking.

This role is suited for individuals who are comfortable working in a dynamic and sometimes ambiguous environment, and who can maintain objectivity and sound judgment under pressure.

Key Accountabilities:

  • Implement Hartree Partner’s compliance program across the business.
  • Undertake risk assessments to identify key compliance risks and required mitigation.
  • Monitor compliance with internal policies and international regulations.
  • Monitor communications to ensure compliance with policies and laws.
  • Provide the business with regular compliance guidance in high‑risk trading activity.
  • Provide ongoing compliance training to the business covering internal policies and external laws.
  • Ensure that compliance considerations are appropriately integrated into decision‑making processes, including the ability to raise and defend dissenting views.
  • Support the central compliance function and the business with counterparty KYC activities, including an understanding of how sanctions risks can be identified and mitigated in key markets in which the business operates.
  • Identify compliance issues across the business and report those issues to the Chief Compliance Officer and work towards their rectification.
  • Review marketing materials and external presentations to ensure compliance with applicable laws and regulations.
  • Support the central compliance team by gathering information relevant to the business.
  • Work with Touton and ED&F Man’s Legal and Internal Audit Departments on fraud or related investigations.
  • Manage applicable whistleblowing systems and associated investigations.
  • Support various compliance projects being implemented across the business.
  • Consistently engage with the business’s trading and leadership teams to ensure compliance remains a top priority.
  • Provide compliance support and advice to the trading business covering both financial and physical trading.
  • Support the onboarding and manage the KYC and counterparties approval activities.
  • Advise on and monitor compliance with policies and regulations including MiFID, REMIT, EMIR, MAR and Dodd‑Frank.
  • Monitor market abuse, anti‑trust, and sanctions compliance.
  • Monitor OTC and exchange trading activity to ensure compliance with rules and local regulatory requirements.

Skills and Experience:

  • Fluency in English – essential.
  • Fluency in French or Arabic – highly valued.
  • Considerable and direct trading compliance experience working for a physical commodities trading house – essential.
  • Trade compliance experience with emerging markets, in particular West African and Middle Eastern markets – desirable.
  • Knowledge of UK, US, EU, Swiss, French and other international compliance regulations applicable to commodity trading – essential.
  • Experience of providing compliance advice and guidance to traders – essential.
  • Degree in law or economics – advantageous.
  • Experience in being part of developing a compliance program and monitoring compliance performance.
  • Excellent communication and relationship‑building experience.
  • High ethical standards.
  • Leadership and management skills.
  • Critical problem‑solving skills.
  • Ability to make informed decisions quickly.

We recognise that talent comes in many forms, and we value potential just as much as experience. If this role excites you but you don’t meet every requirement, we still encourage you to apply.

Our Offer:

We provide a fast‑paced, stimulating and truly global environment, which will stretch your abilities and channel your talents. We also offer a competitive salary and benefits combined with outstanding career development opportunities in one of the global leaders of commodity trading.

Our Commitment:

We are committed to maintaining a work environment where all employees are treated with dignity and respect. We provide equal opportunities to all qualified applicants without regard to race, colour, sex, gender, age, religion, ethnic or national origin, marital or civil partner status, physical or mental disability, military or veteran status, sexual orientation, gender identity or expression, genetic information or any other characteristic protected by applicable law. We are willing to make any reasonable adjustments throughout our recruitment process.

Compliance Officer employer: Hartree Partners

Hartree Partners offers an exceptional work environment for Compliance Officers, situated in the vibrant city of London. With a strong emphasis on professional growth and integrity, employees benefit from ongoing training, direct access to senior leadership, and the opportunity to influence compliance practices in a dynamic global trading landscape. The company's commitment to innovation and ethical standards fosters a culture where every team member can thrive and make a meaningful impact.

Hartree Partners

Contact Details:

Hartree Partners Recruitment Team

We think you need these skills to ace Compliance Officer

Compliance Training
Risk Assessment
Monitoring Compliance
KYC Activities
Understanding of Sanctions Risks
Regulatory Knowledge (MiFID, REMIT, EMIR, MAR, Dodd‑Frank)
Communication Skills