- Liaise with senior management in the equities derivatives business and functional leaders in compliance, legal, risk and other areas to provide effective challenge, guidance and advice
- Participate in Compliance coverage for the Global Equity Derivatives business and in doing so, participate in various global, regional and cross-product Governance Committees
- Provide subject matter expertise on laws, rules and regulations pertaining to equity derivatives sales and trading, including Flow Volatility, Exotics, Structured Products, Corporate Derivatives, Convertible Bonds, and QIS businesses
- Provide timely advice to Equity Derivative business personnel on real-time, complex Sales and Trading questions
- Draft and review compliance policies and procedures as well as develop and deliver relevant training on a global basis
- Assess regulatory risks and associated controls relating to new business initiatives
- Participate on various annual reviews including Compliance Risk Assessments and RCSA's
- Be willing to take on projects and assignments that may be outside of the equity derivatives space in conjunction with other compliance team members.
- Ideally a bachelor's degree or higher in Business/Accounting/Finance/Law or similar field
- Minimum of 7 years of experience in Compliance or Regulatory Role or equivalent experience
- Knowledge of equity derivatives and associated trade flows
- Experience in dealing with regulators related to addressing regulatory inquiries and examinations
- Experience in conducting Compliance Risk Assessments
- Excellent written and verbal communication skills and competence in portraying complex content in a clear, concise and compelling manner.
- Strong business analytical and problem solving skills. Ability to easily manipulate and analyze a broad range of data
- Goal orientated, self-motivated, well organized and detail orientated
- Able to critically verify and challenge processes and documentation with an independent mindset
- Proficient user of Word, Excel and PowerPoint and skilled at data analytics
-
Compliance Officer
3 days ago
QUANTEAM - North America (RAINBOW PARTNERS Group) New York, United StatesAs the founding entity of RAINBOW PARTNERS, Quanteam is a consulting firm specializing in the fields of Banking, Finance, and Financial Services. Guided by our core values of closeness, teamwork, diversity, and excellence, our team of 1,000 expert consultants, representing 35 dif ...
-
Compliance Officer
4 weeks ago
Anonymous New York, United StatesLeading Trading Firm is looking to hire a Compliance Officer in New York City. · This key hire will play a strategic role in running the day-to-day compliance program as the firm continues to build an industry leading team. · The ideal candidate will have: · Strong knowledge of t ...
-
Compliance Officer
3 weeks ago
Cardea Group New York, United StatesCompliance Officer (New York, NY): The chance to join a thriving private equity fund in a #2 capacity is here. If you are an ambitious, intelligent, and curious compliance professional seeking the mentorship of an exceptionally bright, talented, and KIND GC & CCO, please read on. ...
-
Compliance Officer
3 days ago
FirstKey Mortgage, LLC New York, United StatesCompany Background · FirstKey Mortgage, LLC ("FKM") is one of the world's leading private label securitization and asset management firms. We are a boutique financial services company with a primary focus on the buying and securitizing of residential mortgage loans. Since incepti ...
-
Compliance Officer
3 weeks ago
Catholic Charities Community Services New York, United States Full timeDescription · Job Description · Summary: This position is responsible for the administration of Human Resources policies, procedures, and programs including Compliance, Training & Development, and Employee Relations. · Essential Functions and Responsibilities include the followi ...
-
Compliance Officer
6 days ago
Sharegain New York, United StatesSharegain began with one question: If the largest institutions solely exercise the right to lend their stocks, bonds, and ETFs, what would it take to unlock this revenue opportunity for every investor? · Our team of experts in the UK, US and Israel built the solution: a platform ...
-
Compliance Officer
5 days ago
Sharegain New York, United StatesJob Description · Job DescriptionSharegain began with one question: If the largest institutions solely exercise the right to lend their stocks, bonds, and ETFs, what would it take to unlock this revenue opportunity for every investor? · Our team of experts in the UK, US and Isra ...
-
Compliance Officer
3 weeks ago
KKR & Co. Inc. New York, United StatesCOMPANY OVERVIEW · KKR & Co. Inc., together with its subsidiaries, is a leading global investment firm that offers alternative asset management and capital markets and insurance solutions. KKR aims to generate attractive investment returns by following a patient and disciplined i ...
-
Compliance Officer
3 weeks ago
New York City, NY Manhattan, United StatesThe Office of the New York City Comptroller's Bureau of Asset Management (BAM) supports the Comptroller in his role as investment advisor, custodian, and trustee for each of the five New York City public pension systems. BAM oversees more than $250 billion dollars in assets under ...
-
Compliance Officer
3 weeks ago
Guggenheim Partners New York, United StatesWill include conducting beneficial owner and control person due diligence on participants in transactions as well as assisting with GPIM client and collective investment vehicle investor AML/ KYC on-boarding. The Compliance Officer is located in our Compliance Officer, Officer, C ...
-
Compliance Officer
1 week ago
S&P Global New York, United StatesAbout the Role: · Grade Level (for internal use): · 12 · The Role: Compliance Officer · The Compliance Officer role is based in Englewood or New York and the successful candidate will be responsible for supporting the implementation and monitoring of the Compliance Program pr ...
-
Compliance Officers
3 weeks ago
Michael Page New York, NY, United StatesThe Corporate Compliance Officer is responsible for overseeing and ensuring the company's adherence to regulatory requirements, particularly in areas such as Anti-Money Laundering (AML), Bank Secrecy Act (BSA), and Office of Foreign Assets Control (OFAC) compliance. Our client is ...
-
Compliance Officer
3 weeks ago
Schonfeld New York, United StatesThe Role · We are seeking to hire an exceptional Compliance Officer to join our compliance team in our New York City office. The Compliance Officer will report into the Deputy Chief Compliance Officer and will lead the Risk Review, Monitoring and Exams (RRME) team in support of ...
-
Compliance Officer
3 weeks ago
Deutsche Bank New York, United StatesCompliance Officer - Investment Bank Compliance - Origination & Advisory - Capital Markets - Vice President · Job ID:R Full/Part-Time: Full-time Regular/Temporary: Regular Listed: Location: New York ...
-
Compliance Officer
3 weeks ago
Bloomberg New York, United States Full timeThe energy of a newsroom, the pace of a trading floor, the buzz of a recent tech breakthrough; we work hard, and we work fast - while keeping up the quality and accuracy we're known for. It's what keeps us inventing and reinventing, all the time. Our culture is wide open, just li ...
-
Compliance Officer
3 weeks ago
Deutsche Bank New York, United StatesCompliance Officer - Investment Bank Compliance - Fixed Income Sales & Trading - Rates - Vice President · Job ID:R Full/Part-Time: Full-time Regular/Temporary: Regular Listed: Location: New York ...
-
Compliance Officer
2 days ago
Guggenheim Partners New York, United StatesPosition Summary · Guggenheim Investments is seeking an exceptional Compliance Officer to join its team. Reporting to the Head of Anti-Money Laundering of Guggenheim Partners Investment Management, LLC (GPIM), an SEC-registered investment advisor. This person will join a highly c ...
-
Compliance Officer
5 days ago
Piermont Bank New York, United StatesAbout Us: · Piermont Bank is a tech-enabled digital commercial bank founded in 2019 with a mission of changing the face and pace of banking. It provides an unprecedented experience that blends the best of banking and agile Fintechs. At Piermont, we are purpose-driven, and focuse ...
-
Compliance Officers
3 weeks ago
Michael Page New York, NY, United StatesThis short-term temporary position involves supporting AML and Sanctions Compliance Audit Teams in executing audit coverage, designing and conducting audit tests, and assisting in delivering comprehensive audit reports. The role requires expertise in BSA/AML, OFAC/Sanctions, regu ...
-
Compliance Officer
5 days ago
Swiss Re New York, United StatesLocation: New York, NY, US · ** Compliance Officer - US Broker-Dealer** · **About Swiss Re** · Swiss Re is one of the worlds leading providers of reinsurance, insurance and other forms of insurance-based risk transfer, working to make the world more resilient. We anticipate an ...
Senior Equity Derivates Compliance Officer - New York, United States - UBS
![Default job background](https://contents.bebee.com/public/img/bg-user-ex-1.jpg)
Description
United States - New YorkCompliance
Group Functions
Job Reference #
294200BR
City
New York
Job Type
Full Time
Your role
Are you a Compliance Professional who likes taking on responsibility? Do you enjoy working in a fast paced environment and being the subject matter expert? We are looking for someone like this to:
You'll be working in the IB Americas C&ORC team in New York, which is a part of the Group Compliance, Regulatory and Governance function, coordinating daily with colleagues throughout the globe.
We are a team who partner effectively with the business to manage regulatory risk in an environment of collaboration and constructive challenge.
We are responsible for providing independent oversight and control over the consequential risks arising from UBS' business activities at a global, regional, divisional and entity level.
Diversity helps us grow, together. That's why we are committed to fostering and advancing diversity, equity, and inclusion.It strengthens our business and brings value to our clients.
Your expertise
UBS is the world's largest and the only truly global wealth manager.
We operate through four business divisions:
Global Wealth Management, Personal & Corporate Banking, Asset Management and the Investment Bank. Our global reach and the breadth of our expertise set us apart from our competitors.
We have a presence in all major financial centers in more than 50 countries.
Salary information
CA, CO, WA and NY based roles: The salary range for this role is $200,000 to $275,000 based on experience, education, and skill level.
For benefits information:
Join us
At UBS, we embrace flexible ways of working when the role permits. We offer different working arrangements like part-time, job-sharing and hybrid (office and home) working.
Our purpose-led culture and global infrastructure help us connect, collaborate, and work together in agile ways to meet all our business needs.
From gaining new experiences in different roles to acquiring fresh knowledge and skills, we know that great work is never done alone.
We know that its our people, with their unique backgrounds, skills, experience levels and interests, who drive our ongoing success.
Together we're more than ourselves. Ready to be part of #teamUBS and make an impact?Contact Details
UBS Business Solutions SA
UBS Recruiting
Disclaimer / Policy Statements
UBS is an Equal Opportunity Employer.
We respect and seek to empower each individual and support the diverse cultures, perspectives, skills and experiences within our workforce.