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Vice President, Market Abuse Trade Surveillance

ExperiencedNo visa sponsorship
BNY Mellon logo

at BNY Mellon

Asset Management

Posted 13 days ago

No clicks

**Vice President, Market Abuse Trade Surveillance**: Lead our Core Compliance team in Lake Mary, FL, driving trade abuse detection, regulatory risk management, and process improvement. Key responsibilities include analyzing and documenting trade alerts (Insider Dealing, Wash Sales, Spoofing) and collaborating with internal auditors, compliance testers, and stakeholders. Provide guidance on regulatory requirements, ensure robust surveillance controls, and drive unification of MI and systems. Required: 7+ years in Surveillance, Control, or Compliance; thorough financial markets knowledge; strong regulatory understanding (SEC, Finra, FCA); investigative skills; and excellent communication skills. Bachelor's degree minimum.

Compensation
Not specified

Currency: Not specified

City
Lake Mary
Country
United States

Full Job Description

Were seeking a future team member for the role of Market Abuse Trade Surveillance Analyst, to join our Core Compliance team. This role is located in Lake Mary, FL

In this role, youll make an impact in the following ways:

  • Analyzing and documenting the disposition of trade alerts for potential market manipulation abuses including but not limited to: Trading Ahead of News (Insider Dealing), Wash Sales, Spoofing, Marking the Open/Close
  • Assisting with the management of Compliance and Regulatory risks.
  • Responding to and participate in the preparation of responses to regulatory requests when required.
  • Work with internal audit, compliance testing and other internal stakeholders.
  • Promoting a strong regulatory mindset across the lines of business.
  • Provide guidance and interpretation of regulatory requirements.
  • Ensure that the control framework meets regulatory expectations and the expectations of senior management and regulators.
  • Work to build control structures that support the monitoring of orders and trades to provide robust surveillance.
  • Perform deep dives and identify areas that may need additional surveillance controls.
  • Assist in the unification of MI and systems to drive best practice across the Controls Team.
  • Create documentation to support surveillance activities.
  • Ensuring documentation and systems infrastructure remain appropriate.
  • Actively participate in surveillance meetings as required.
  • Assist with annual parameter reviews and risk assessments as needed.

To be successful in this role, were seeking the following:

  • Relevant experience in a similar Surveillance, Control or Compliance role.
  • Experience gained from a Regulatory organization would be beneficial.
  • Thorough knowledge of financial markets, including equity, option, FX and fixed income products.
  • Strong working knowledge of the applicable regulatory principles and rules (SEC, Finra, FCA) that govern market abuse.
  • Experience operating surveillance systems, investigating potentially abusive behavior and dealing with Introducing Broker-Dealers and trading staff.
  • Investigative skills and an analytical mindset are essential.
  • Oral and written communication skills in English and the ability to understand compliance policies and process assigned tasks in accordance with procedures.
  • Bachelors degree or masters degree preferred.

Vice President, Market Abuse Trade Surveillance

Compensation

Not specified

City: Lake Mary

Country: United States

BNY Mellon logo
Asset Management

13 days ago

No clicks

at BNY Mellon

ExperiencedNo visa sponsorship

**Vice President, Market Abuse Trade Surveillance**: Lead our Core Compliance team in Lake Mary, FL, driving trade abuse detection, regulatory risk management, and process improvement. Key responsibilities include analyzing and documenting trade alerts (Insider Dealing, Wash Sales, Spoofing) and collaborating with internal auditors, compliance testers, and stakeholders. Provide guidance on regulatory requirements, ensure robust surveillance controls, and drive unification of MI and systems. Required: 7+ years in Surveillance, Control, or Compliance; thorough financial markets knowledge; strong regulatory understanding (SEC, Finra, FCA); investigative skills; and excellent communication skills. Bachelor's degree minimum.

Full Job Description

Were seeking a future team member for the role of Market Abuse Trade Surveillance Analyst, to join our Core Compliance team. This role is located in Lake Mary, FL

In this role, youll make an impact in the following ways:

  • Analyzing and documenting the disposition of trade alerts for potential market manipulation abuses including but not limited to: Trading Ahead of News (Insider Dealing), Wash Sales, Spoofing, Marking the Open/Close
  • Assisting with the management of Compliance and Regulatory risks.
  • Responding to and participate in the preparation of responses to regulatory requests when required.
  • Work with internal audit, compliance testing and other internal stakeholders.
  • Promoting a strong regulatory mindset across the lines of business.
  • Provide guidance and interpretation of regulatory requirements.
  • Ensure that the control framework meets regulatory expectations and the expectations of senior management and regulators.
  • Work to build control structures that support the monitoring of orders and trades to provide robust surveillance.
  • Perform deep dives and identify areas that may need additional surveillance controls.
  • Assist in the unification of MI and systems to drive best practice across the Controls Team.
  • Create documentation to support surveillance activities.
  • Ensuring documentation and systems infrastructure remain appropriate.
  • Actively participate in surveillance meetings as required.
  • Assist with annual parameter reviews and risk assessments as needed.

To be successful in this role, were seeking the following:

  • Relevant experience in a similar Surveillance, Control or Compliance role.
  • Experience gained from a Regulatory organization would be beneficial.
  • Thorough knowledge of financial markets, including equity, option, FX and fixed income products.
  • Strong working knowledge of the applicable regulatory principles and rules (SEC, Finra, FCA) that govern market abuse.
  • Experience operating surveillance systems, investigating potentially abusive behavior and dealing with Introducing Broker-Dealers and trading staff.
  • Investigative skills and an analytical mindset are essential.
  • Oral and written communication skills in English and the ability to understand compliance policies and process assigned tasks in accordance with procedures.
  • Bachelors degree or masters degree preferred.