Senior Equities Compliance Officer – Investment Bank

Senior Equities Compliance Officer is needed by a leading Investment Bank. This is a top tier Investment bank seeking to expand the team and specifically focusing on the Equities business.

The team has a wealth of experience and talented individuals, renowned for their excellence within the bank and in industry. The main focus will be to provide advisory services to the Equity and Equity-linked Sales Trading businesses in EMEA.

Senior Equities Compliance Officer’s responsibilities:

  1. Advisory services: providing to the business units and support control functions in relations to the interpretation and application of relevant law, regulation and rules.
  2. Policy and training programme:  Contributing to an on-going programme of policy, training and awareness.
  3. Business Engagement: Engaging senior stakeholders within the business and support control management to integrate and establish yourself as a trusted advisor with respect to regulatory matters.
  4. Monitoring Testing programme: Contributing to an on-going programme of desk reviews, surveillance and test checks.
  5. Regulatory/exchange liaison: interacting from time to time with various regulatory bodies
  6. Regulatory Reform: Advising the business unit and support control functions.
  7. Team Management: Providing support and direction to the team.

To be considered for this role, you need to have the following:

If you would like to know more about this position (or similar roles) please give me a call on 0207 092 3241 or drop me an email on d.bowenwright(at)eamesconsulting.com. Also please feel free to forward to someone that you know that will be interested in these roles or similar roles.

 

 

October 15, 2013 • Tags:  • Posted in: Financial

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