On line review of daily trading to monitor for best execution and front running
Follow-up review of trading to ensure proper trade reporting
Review of operations exception reports and follow up for resolution
Assist in various technology enhancements and documentation of systems
Review / enhance compliance and trade reporting processes and procedures to meet the needs of an evolving business incorporating any new/updated securities regulations as applicable
Assist in Regulatory Examinations
Some travel to other SIG offices may be required
QUALIFICATIONS:
Minimum of three (3) years of experience in a compliance role supporting corporate bonds for a broker / dealer required; experience with other fixed income, equites and options products preferred
Experience with trade management and trade reporting systems critical
A deep understanding of trading rules and trade reporting required
Familiarity with the regulatory issues facing an institutional broker dealer critical
Exceptional communication skills, both written and verbal, are required
Series 7 and 24 licenses are a plus
SEARCH FIRM REPRESENTATIVES: Please read carefully. SIG is not seeking assistance or accepting unsolicited resumes from search firms for this employment opportunity. Regardless of past practice, all resumes submitted by search firms to any employee at SIG via-email, the Internet or directly to hiring managers at SIG in any form without a valid written search agreement in place for that position will be deemed the sole property of SIG, and no fee will be paid in the event the candidate is hired by SIG as a result of the referral or through other means.
If interested, please apply online at http://track.jobviper.com/ViewJob.asp?id=649481-1366-5153
Susquehanna International Group, LLP
1569BR
Note: Please quote eFC Ref: 585931 when applying for this job.