Key Responsibilities:
- Monitor equity trading activity to ensure compliance with SEC, FINRA, and global regulatory requirements.
- Review and investigate potential trade violations or unusual activity in real-time and post-trade surveillance.
- Act as a liaison between the trading desk and regulatory bodies, ensuring timely and accurate reporting.
- Develop, implement, and maintain policies and procedures to support equity trade compliance.
- Assist in the development and deployment of surveillance and monitoring tools specific to the equities business.
- Conduct periodic risk assessments and gap analyses related to equities compliance.
- Provide training and ongoing guidance to traders and front-office staff on relevant compliance topics.
- Support regulatory audits, inquiries, and internal reviews, ensuring accurate documentation and responses.
- Keep abreast of regulatory developments, industry trends, and best practices affecting equity trading.
Qualifications:
- Bachelor’s degree required; JD, MBA, or advanced degree in finance, law, or related field is a plus.
- 5+ years of experience in a compliance role within a trading or capital markets environment, ideally within equities.
- Deep knowledge of equity products and trading practices, including algorithmic trading and market making.
- Familiarity with regulatory frameworks such as SEC, FINRA, MiFID II, and other global standards.
- Proficient in using trade surveillance systems (e.g., SMARTS, Actimize, or similar).
- Strong written and verbal communication skills with the ability to interact effectively across all levels of the organization.
- Highly analytical, detail-oriented, and capable of managing multiple priorities under tight deadlines.