- Senior Compliance Officer (Surveillance and Transaction Reporting)
The Compliance Department at Millennium adopts, implements, and manages the compliance programme, including policies and procedures, processes, systems, controls, surveillance, testing and reporting, which is crafted to prevent or detect violations of applicable laws, rules and regulatory requirements and firm policies.
This senior position, overseeing Millennium's EMEA Surveillance and Transaction Reporting Compliance program, reports to the Deputy Head of Compliance, EMEA. This role encompasses hands on day-to-day tasks as well as policy and project work in a dynamic and expanding firm. The role requires the ability to multi-task, work within a team as well as independently, and liaise with all levels of people across the Firm.
Principal Responsibilities
Oversee and manage the EMEA Surveillance and Transaction Reporting Compliance Team
Compliance oversight of EMEA-based algorithmic trading, including involvement in formulating and implementing Millennium's global algorithmic compliance programme at the EMEA level
Compliance oversight of MiFID II, EU short sale and other regulatory reporting
Oversight of European compliance surveillance programme, including Nasdaq SMARTS
Lead and provide support for regulatory examinations, internal investigations, regulatory inquiries, and internal and external audits and inspections
Interact with all facets of the Firm's trading and back-office departments
Prepare compliance reports and presentations
Assist with the Firm's compliance testing and monitoring programme
Assist in the maintenance of the Firm's general compliance programme and record keeping
Assist in the maintenance of the Firm's Risk Assessments
Undertake and lead special compliance related projects involving various inter-department stakeholders
Keep up to date on, research and track compliance, regulatory, and legal issues, trends, and upcoming developments; develop new compliance initiatives
Participate in working groups, projects and other work as needed
Qualifications/Skills Required
10+ years' experience working in Compliance or other relevant experience
Previous experience leading/managing a team
Experience leading regulatory enquiries, reviews and interactions
Strong regulatory background in EMEA markets with comprehensive understanding of, and experience working with, rules and regulations and compliance processes and systems
Surveillance and transaction monitoring experience with a strong forensic, analytical mindset and a solid understanding of trade and surveillance workflow
Broad product and financial services industry knowledge
Experience in interacting with trading and core infrastructure groups
Essential to have strong interpersonal skills
Must be a quick learner, detail oriented; demonstrable thoroughness and strong ownership of work
Able to multi-task and prioritise in a fast moving, high pressure, constantly changing environment; able to meet competing deadlines on a timely basis
Team player with a strong willingness to participate and help others
* Experience in working with different technology applications such as MS PowerPoint, Excel VBA Macros, Tableau, any other relevant data analytics tools preferred
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