Simmons & Hanbury
Compliance Advisor, Regulatory Reporting - Quantitative Trading
Job Location
Job Description
Our client is a global quantitative hedge fund, seeking a compliance officer to for all global regulatory reporting requirements.
Key Responsibilities:
· Analysing and approving new trading flows ensuring reporting systems accurately represent trading activity
· Monitoring and reviewing compliance with various US/European/Asian regulatory reporting requirements (e.g., transaction/trade/EMIR reporting)
· Tracking and interpreting upcoming regulatory changes related to reporting, including changes to reporting systems and policies
· Drafting and updating regulatory reporting policies and procedures
· Responding to queries and requests from both internal and external parties including regulators, exchanges, and traders in a prompt and accurate manner
Preferred Experience:
· Thorough technical knowledge of trade and transaction reporting
· Ideal background from within a proprietary trading firm, hedge fund, asset manager or investment bank
Due to the high volume of applications, if you haven’t heard back from the team on this role, unfortunately your application has been unsuccessful. If your profile matches any of our other opportunities, one of our consultants will be in touch.
About Simmons & Hanbury
Simmons & Hanbury is a specialist executive search firm that sources and secures the best human capital and future leaders for our clients. We provide an integrated international service to support our clients across the globe, from our group headquarters based in the heart of the City of London. We support some of the most prestigious organisation's in the world, across financial services, commerce & industry, and professional services.
Location: London, GB
Posted Date: 10/31/2024
Contact Information
Contact | Human Resources Simmons & Hanbury |
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