In this sector, we list all legal and compliance jobs for finance professionals. Compliance roles exist to make sure banks, asset managers, hedge funds, insurance companies and any other forms of financial services firms obey the regulations required by the law of the country in which they are operating. Compliance professionals check with front office employees on the business side of the organization to guarantee any regulatory requirements are met. They also train salespeople, traders, M&A bankers and other financial services employees on the expectations of national and supranational regulators.
Regulatory jobs in financial services and investment banks can be in one of a number of categories, including:
Sales and trading compliance - This position requires working closely with salespeople and traders in a bank to check that their activities comply with any requirements of a local regulator. Sales and trading compliance professionals are usually product specialists. They may specialize in areas such as bonds, equities or derivatives.
Control room compliance - This position includes maintaining a bank's restricted list (which restricts confidential information to specific people), checking that Chinese Walls are upheld and monitoring for unusual or alarming dealing activity. If a certain employee is placed on a "stop and watch" list, the control room compliance team check to make sure they're stopped and watched.
Monitoring and surveillance - People working in this category study specific behavior and trading transactions that could demonstrate fraudulent activity. They check for activities such as insider dealing or any manipulation of markets across the exchanges.
Anti-money laundering (AML) - These professionals are responsible for preventing money laundering, which is when the profits of illegal activities are made to appear legitimate.
Asset managers, retail banks, insurance companies and hedge funds hire compliance staff as well. The global financial crisis has increased regulation of many different types of financial services firm. As a result, compliance has become much more important. In addition to listing jobs for compliance officers, compliance managers and senior compliance professionals from compliance recruitment agencies in the categories listed above, this section contains listings for jobs at actual financial services regulatory bodies such as the SEC. Many jobs revolve around enforcing these regulations.
Banks and other financial services companies also employ lawyers or attorneys and paralegals to check that their documentation and contracts comply with established law. As such, this sector also lists these legal financial jobs.
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| Control Room Associate | Morgan McKinley AU$70000 - AU$80000 per annum | Australia-Sydney | 22 May 12 |
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| LEGAL - Legal Secretary - Contract | Deutsche Bank not disclosed | Australia-Sydney | 21 May 12 |
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See job description below
| Senior Operational Risk - Institutional Funds - $175k+bonus | Robert Walters AU$160000 - AU$175000 per annum + Bonus | Australia-Sydney | 21 May 12 |
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A leading international fund manager is seeking a Senior Operational Risk Manager to join the Sydney office an...
| Audit / Compliance | Profusion Group Associate Director level | Australia-Sydney | 21 May 12 |
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Investment Banking Risk Management team - asses the degree of compliance to policies procedures and external r...
| Manager | KPMG Package including superannuation | Australia-Sydney | 21 May 12 |
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Support the National Board & NEC
| Quality Assurance Specialist | Porterallen 85000 | Australia-Sydney | 21 May 12 |
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Leading Medical Indemnity Organisation currently require an experienced Quality Assurance Specialist.
| Quality Assurance Specialist | Porterallen 85000 | Australia-Sydney | 21 May 12 |
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Leading Medical Indemnity Organisation currently require an experienced Quality Assurance Specialist.
| Registrations Compliance Officer | Morgan McKinley NA | Australia-Sydney | 16 May 12 |
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$120k to $140k package - 9-12 months - Fixed Term Contract This long term contract gives you the opportunity t...
| Operational Manager - Operations/Process Improvement - $120k+ | Robert Walters AU$100000 - AU$120000 per annum + BONUS | Australia-Sydney | 15 May 12 |
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New role is now available at a prestigious international bank responsible for managing Operational Risk in a f...
| Compliance Manager | Ethos Corporation NEG | Australia-Sydney | 15 May 12 |
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An outstanding opportunity exists for a Compliance Manager to join a leading global bank
| Sr Analyst, Investment Compliance | The Northern Trust Company (Singapore Branch) Competitive | Australia-Melbourne | 15 May 12 |
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This position is open to be based in Melbourne, Australia.
| Business & Process Analysts | Compliance (FATCA) Market Rates | Bluefin Resources AU$0.00 per annum | Australia-Sydney | 11 May 12 |
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| Manager, Risk and Compliance | RBF Competitive remuneration | Australia-Hobart | 11 May 12 |
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Experienced person required to manage the RBF Risk and Compliance Unit.