Senior Compliance Officer

New York, New York • $160,000-$200,000

About the Company: 

Our client is an international alternative investment firm with over $10 billion in AUM. The firm uses derivative-based strategies for its investors who are pension funds, university endowments, foundations, and insurance companies.

 

Responsibilities: 

  • Oversee and enforce policies and procedures for trading governance and quantitative trading activity
  • Provide compliance advisory support for trading staff across products and regions
  • Advise on permissible transactions including cross trades, Regulation M offerings, and ERISA suitability
  • Review and facilitate potential Wall Cross opportunities including administration of any relevant trading restrictions and documentations
  • Onboard and train traders across all asset classes on trade compliance
  • Assist with inquiries by regulators
  • Support the trade surveillance program and compliance testing

 

Requirements: 

  • Bachelor’s degree required
  • 6-8 years of experience in compliance at a registered investment adviser
  • JD preferred
  • Experience with trade compliance and trade surveillance
  • Knowledge of derivatives strategies and familiarity with complex financial products
  • Familiarity with SQL and Python a plus

 

Salary Range:

$160,000-$200,000

 

 

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