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Associate Compliance Specialist - Eximius Finance

Eximius Finance

London

On-site

GBP 40,000 - 80,000

Full time

Yesterday
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Job summary

An established industry player is seeking a proactive Associate Compliance Specialist to join their dynamic team in London. This role involves providing compliance advice, conducting market abuse surveillance, and managing regulatory queries. The successful candidate will have around 5 years of experience in a compliance function, ideally within equities or stockbroking. You will play a vital role in ensuring adherence to regulations and delivering training across departments. If you're passionate about compliance and eager to make an impact in a fast-paced environment, this opportunity is perfect for you.

Qualifications

  • 5 years of experience in compliance, preferably in equities or stockbroking.
  • Knowledge of MAR, transaction reporting, and trade reporting.

Responsibilities

  • Provide compliance advice focused on execution services.
  • Conduct daily market abuse surveillance and manage regulatory queries.

Skills

Compliance Advice
Market Abuse Surveillance
Regulatory Reporting
KYC and AML Checks
SMCR Processes

Education

CISI Examinations

Job description

Associate Compliance Specialist - Eximius Finance

The successful applicant will need to be proactive, with an interest in the regulatory environment:

  • Provide compliance advice to the business with a focus on execution services. Knowledge of MAR, transaction reporting, trade reporting, and CASS required.
  • Conduct daily market abuse surveillance of automated alerts and escalate potential risks or concerns as appropriate.
  • Drafting and submission of STORs.
  • Investigate and manage responses to ad hoc regulatory or exchange queries.
  • Assist in the interpretation and implementation of new regulation or guidance and update policies and procedures as required.
  • Understanding of Takeover panel reporting requirements is preferrable.
  • Undertake monitoring of business and staff activities for both the research and trading sides of the business as outlined in the compliance monitoring programme.
  • Deliver induction training sessions and develop ad hoc training for different departments within the firm.
  • Depending on experience the candidate will also be responsible for:
    • KYC and AML checks
    • SMCR processes including SMF Applications and Certification

Key Skills and Experience Required

  • In the region of 5 years’ experience in a compliance function ideally from an equities/stockbroking background with a professional client-base. Candidates with less than 5 years’ experience with highly relevant experience will also be considered.
  • Previous experience of providing advice on regulatory reporting, and market abuse matters.
  • Passed relevant CISI examinations (preferred) or be willing to do so.
Job Overview

ID: 1453035

Date Posted: Posted 1 day ago

Expiration Date: 23/05/2025

Location: London

Competitive

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