Responsibilities include:
- Execute compliance testing as part of the firm’s ongoing monitoring program to assess adherence to federal regulations and internal policies/controls.
- Support a risk and controls framework across Sales & Trading, helping identify, evaluate, and mitigate compliance risks.
- Review and interpret SEC and FINRA rules and guidance impacting broker-dealers.
- Monitor regulatory developments and assess applicability to the business, particularly in investment banking, equity and fixed income sales & trading, and research.
- Partner with business stakeholders to strengthen supervisory controls and ensure appropriate escalation and documentation of issues.
Requirements:
- 5+ years of Compliance experience within a broker-dealer and/or investment bank, with direct support of Sales & Trading activities (required).
- Hands-on experience performing compliance testing/monitoring within an established compliance program.
- Strong knowledge of broker-dealer regulatory requirements, including SEC/FINRA rules, and related risks across Sales & Trading and investment banking.
- Ability to evaluate controls and provide practical guidance in a fast-paced, front-office environment.
Pay: $60/hr-$65/hr
