Senior Compliance Officer - Global Investment Bank and Broker Dealer : Job Details

Senior Compliance Officer

Global Investment Bank and Broker Dealer

Job Location : All cities,NY, USA

Posted on : 2024-06-15T06:30:09Z

Job Description :

Our client, a well-established Alternative Investments firm is seeking to add a Compliance professional to support the growth of the business with an opportunity to join a high performing team.

Key responsibilities include:

  • Developing ongoing policies & procedures & monitoring the Compliance program in accordance with FINRA regulations.
  • Reviewing personal trading activities for all employees in the region
  • Trade surveillance reviews
  • Assist with the review of firm marketing materials.
  • Understanding of FINRA & SEC marketing/advertising rules, public and private fund experience a plus.
  • Compliance Testing ( Knowledge of FINRA rule 3120 a plus)
  • AML
  • Compliance training
  • Regulatory exams and inquiries
  • Series 7 & 24 Required

Seeking 2-5 years of compliance experience at a highly regulated investment bank or broker dealer

Bachelors Degree

Self-starter with strong written & communication skills and with the ability to practice sound judgement and work independently and within a team dynamic.

Apply Now!

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