Compliance Officer, Trade Reporting

in Financial Services
  • New York, New York View on Map
  • Salary: $125,000.00 - $150,000.00
Permanent

Job Detail

  • Experience Level Manager
  • Degree Type Bachelor of Arts (BA)
  • Employment Full Time
  • Working Type Hybrid
  • Job Reference 0000019238
  • Salary Type Annually
  • Industry Broker Dealer;Investment Banking
  • Selling Points

    Lead impactful regulatory reporting processes ensuring compliance with FINRA regulations. Collaborate across departments to enhance workflows and reporting accuracy. Drive process improvements in a dynamic, hybrid work environment.

Job Description

Overview

  • Manage daily submissions, validations, and error corrections for regulatory trade reporting.
  • Ensure compliance with FINRA and SEC regulations in trade reporting processes.
  • Collaborate with multiple departments to maintain reporting accuracy and resolve issues.
  • Develop and enhance controls and procedures for regulatory reporting workflows.
  • Support audits and regulatory inquiries related to trade reporting compliance.
  • Stay informed on evolving regulatory requirements and implement necessary changes.
  • Contribute to process improvements to streamline workflows and reduce error rates.
  • Participate in system testing for enhancements and regulatory updates.

Key Responsibilities & Duties

  • Monitor and validate daily trade reporting submissions to ensure regulatory compliance.
  • Investigate and resolve reporting discrepancies across systems and platforms.
  • Perform reconciliations between internal systems and regulatory reporting outputs.
  • Collaborate with trading desks and compliance teams to address reporting gaps.
  • Develop documentation for controls and procedures to support audit readiness.
  • Respond to regulatory inquiries and support examinations related to reporting.
  • Enhance reporting workflows to improve efficiency and accuracy.
  • Support onboarding of new products and workflows into reporting processes.

Job Requirements

  • Bachelor’s degree in Finance, Economics, or related field required.
  • Minimum of 4 years of experience in trading operations or compliance.
  • Strong understanding of equity and options trading workflows.
  • Expertise in CAT reporting schema and data validation processes.
  • Proficiency in Excel for data analysis and reconciliation tasks.
  • Knowledge of FINRA/SEC reporting requirements preferred.
  • Experience with broker-dealer trading systems is advantageous.
  • Exposure to SQL or data querying tools is a plus.
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