Search jobs > New York, NY > Compliance officer

Compliance Officer

Millennium Management LLC
New York, New York, US
Full-time

Compliance Officer

Is this your next job Read the full description below to find out, and do not hesitate to make an application.

Position Details

  • Assist in the management of the Firm’s global Quantitative Trading Compliance program, including ownership of the initial vetting and ongoing review processes of portfolio management teams against the Firm’s Algorithmic Trading Policy.
  • Monitor regulatory changes, updates and industry-wide compliance initiatives, and conduct ongoing analyses to enhance the Firm’s global Quantitative Trading Compliance program.
  • Update senior team members on the status of the Quantitative Trading Compliance program, including current reviews completed, ongoing enhancements, and global updates.
  • Assist with regulatory examinations, inquiries, investigations, and projects, as necessary.
  • Assist with drafting and amending compliance-related policies and procedures.
  • Prepare and conduct compliance trainings.

Qualifications / Skills Required

  • 7+ years of experience.
  • Experience at a regulatory authority, bank / broker, or buy-side firm.
  • Experience with addressing algorithmic / systematic trading matters is preferred, with an understanding of model-based trading and investment / execution algorithms.
  • Bachelor’s degree in Computer Science, Finance, Economics, or similar with a strong academic record is preferred.
  • An understanding of global financial markets, including market structure, is preferred.
  • Strong analytical / conceptual problem-solving skills with attention to detail.
  • Strong sense of ownership and personal responsibility.
  • Ability to prioritize, multi-task, and manage deadlines while successfully completing assignments.
  • Strong written and verbal communication skills, as well as the ability to coordinate efforts and projects across teams and departments.
  • Ability to prepare presentation materials for senior management.
  • Proficiency in Microsoft PowerPoint and Excel.
  • Good team player with a strong willingness to participate and help others.

J-18808-Ljbffr

3 days ago
Related jobs
Promoted
cesna
New York, New York

The successful candidate will report directly to the Chief Compliance Officer (CCO) and will be responsible for assisting in the development, implementation, and maintenance of our compliance program. The Deputy Compliance Officer will also play a key role in ensuring that our company operates in co...

Promoted
Hispanic Technology Executive Council
New York, New York

As a core pillar of the Banking & International (B&I) Chief Operating Office (COO) Controls Team, the MCA Transformation Team works with the businesses, countries and Central Controls Organization and second line partners to deliver against the MCA Transformation program deliverables.This is an exci...

Promoted
Neuberger Berman
Queens, New York

At least five years’ experience in role of senior lawyer with compliance responsibilities, or senior compliance officer (or CCO) for registered funds;. Chief Compliance Officer & Associate General Counsel, Mutual Funds. Chief Compliance Officer for over $55 billion complex of funds registered un...

Promoted
Hobbsnews
New York, New York

Serves as a senior product compliance risk officer for Independent Compliance Risk Management (ICRM) responsible for establishing internal strategies, policies, procedures, processes, and programs to prevent violations of law, rule, or regulation and design and deliver a risk management framework th...

Emigrant
New York, New York

Professional certification is highly preferred, such as Certified Bank Compliance Officer (CBCO), Certified Regulatory Compliance Manager (CRCM), or Certified Regulatory and Compliance - Professional (CRCP) would be an asset. The Compliance Officer will oversee Emigrant’s compliance function, as wel...

SS&C Technologies
New York, New York

Fun Chief Compliance Officer - HYBRID. This position will act in the capacity of Chief Compliance Officer for certain investment company clients. Primary responsibility will be to ensure fund and service providers' compliance with Rule 38a-1 of the Investment Company Act of 1940. Oversee maintenance...

CA CIB Americas
NEW YORK, US

It is part of the Global CMG function within the Investment & Corporate Banking Regulatory Compliance (“ICBRC”) group for CACIB worldwide. ...

Marex
New York, New York

The Executive Compliance Officer – Solutions Advisory position will provide compliance advisory services across multiple business lines and asset classes, including OTC derivatives, structured notes/products, equities, fixed income, listed options, equity derivatives, and hedging activities. Complia...

Tandym Group
New York, New York

In this role, the Trade Compliance Officer will be responsible for ensuring compliance with all relevant regulatory requirements related to public equities trading, including FINRA and SEC rules and regulations. A financial services firm in New York City is currently seeking an experienced professio...

Madison-Davis
NY/LA

Large broker dealer located in Midtown Manhattan or Los Angeles looking to add a “VP – Capital Markets Compliance Officer” to their team. Assist with the design and execution of regulatory compliance testing for Capital Markets business; test compliance with policies and standards and identify key r...