Lead impactful compliance initiatives in a dynamic trading environment. Collaborate with cross-functional teams to enhance surveillance operations and regulatory adherence. Gain exposure to diverse financial products and markets.
Assistant Vice President Of Trade Surveillance
in Financial Services PermanentJob Detail
Job Description
Overview
- Support front office sales and trading desks for fixed income, equity, and futures products, ensuring compliance and accurate trade reporting.
- Monitor trading activities in real-time and T+1 to identify market manipulation and ensure regulatory adherence.
- Collaborate with front office, middle office operations, and IT teams to address daily compliance matters.
- Review and enhance trade surveillance operations, ensuring alignment with regulatory requirements.
- Prepare and present surveillance activity reports to stakeholders on a weekly and quarterly basis.
- Conduct reviews of TRACE reporting and regulatory reporting, addressing discrepancies effectively.
- Stay updated on rule changes and communicate updates to relevant personnel.
- Assist in policy and procedure reviews and updates to maintain compliance standards.
- Participate in regulatory inquiries and examinations to ensure organizational compliance.
Key Responsibilities & Duties
- Enhance trade surveillance operations and ensure compliance with regulatory standards.
- Prepare and present surveillance activity reports to stakeholders on a regular basis.
- Conduct monthly FINRA report card reviews and research discrepancies.
- Perform best execution reviews and TRACE reporting assessments.
- Handle daily trade reporting discrepancies and ensure accurate regulatory reporting.
- Oversee compliance inspections, testing, and risk assessments.
- Supervise front office sales and trading desks to ensure adherence to compliance standards.
- Assist in policy and procedure reviews and updates for compliance improvement.
- Collaborate with teams to address regulatory inquiries and examinations effectively.
Job Requirements
- Bachelor’s degree in finance, business, or a related field.
- Minimum of 5 years of experience in compliance or surveillance roles.
- FINRA Series 7 license for general representatives is required.
- Proficiency in Bloomberg, NASDAQ SMARTs Surveillance, TRACE, and Microsoft Excel/PowerPoint.
- Strong communication skills to interact effectively with internal teams and partners.
- Experience with visualization creation tools for reporting and analysis.
- Knowledge of regulatory reporting requirements such as CAT/CAIS and Bluesheets.
- Ability to stay updated on rule changes and communicate updates effectively.
- Strong analytical and problem-solving skills to address compliance discrepancies.
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