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Compliance – Wealth Management Trade Surveillance – Associate

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 13 days ago

No clicks

**Compliance – Wealth Management Trade Surveillance – Associate – Hong Kong** Conduct trade surveillance reviews, detect market misconduct, and collaborate with global teams. Key responsibilities include alert analysis, violation escalation, regulatory compliance, and project management. Essential skills: 5+ years in compliance, trade surveillance knowledge (e.g., SHARP / Reliance), investment strategies, analytical skills, and strong stakeholder communication. Enhance risk management, promote global CCOR program, and foster Diversity, Opportunity, and Inclusion.

Compensation
Not specified

Currency: Not specified

City
Hong Kong
Country
Hong Kong

Full Job Description

Location: Hong Kong

Join a dynamic team dedicated to innovation and excellence in risk management. As a Surveillance Associate, you'll play a pivotal role in identifying and mitigating market misconduct risks, collaborating with global and regional teams, and contributing to our commitment to Diversity, Opportunity, and Inclusion.

As a Compliance, Conduct and Operational Risk (CCOR) - Surveillance Associate within Wealth management Trade Surveillance, you will be instrumental in conducting reviews of trade surveillance alerts related to market manipulation and misconduct. You will collaborate with Line of Business Compliance, Management, and global/regional Surveillance teams to promote and enhance our global program. This role demands strong attention to detail, analytical skills, and the ability to manage multiple tasks in a fast-paced environment.

 

Job Responsibilities:

  • Review trade surveillance alerts and analyze trading and market activity to detect and deter potential market misconduct and other manipulative behaviors.
  • Escalate possible violations of rules, regulations, and procedures to management.
  • Assist in the design, testing, and implementation of new alerts and enhancements.
  • Conduct ad hoc and non-alert-based reviews for potential violations of policies, laws, rules, and regulations.
  • Manage multiple projects in a fast-paced environment.
  • Interface with compliance officers, legal, and other stakeholders to review and resolve potential compliance issues.
  • Assist in establishing internal control processes and developing/updating procedures.
  • General administration, reporting, and process document maintenance.
  • Engage with regional LOB/Core Functional Compliance Teams, various country compliance  in US and EMEA Surveillance Teams, senior business management, technology, and operations.
  • Contribute to the firms culture and Diversity, Opportunity and Inclusion program.


Required Qualifications, Capabilities, and Skills:

  • Bachelor's degree required.
  • 5+ years of experience in a Control/Compliance role, in Wealth Management or Asset management.
  • Knowledge of trade and communications surveillance processes and systems such as SHARP / Reliance / Connected Archive.
  • Familiarity with Asset and Wealth Management investment strategies and products, including mutual funds, structured products, stocks, fixed income, and derivatives.
  • Experience in reviewing alert scenario effectiveness and threshold calibration.
  • Excellent analytical skills and strong attention to detail.
  • Strong interpersonal, written, and oral communication skills.
  • Teamwork skills; flexibility in work style and ability to collaborate with stakeholders and colleagues at all levels.
  • Strong PC skills, including Microsoft Excel, SharePoint, Word, PowerPoint, and other reporting tools.
  • Ability to establish credibility and strong partnerships with senior business leaders, control functions, and corporate partners globally.
  • Proven ability to communicate effectively in English at all levels, both orally and in writing.
     
Enhance risk management through trade surveillance excellence.

Compliance – Wealth Management Trade Surveillance – Associate

Compensation

Not specified

City: Hong Kong

Country: Hong Kong

J.P. Morgan logo
Bulge Bracket Investment Banks

13 days ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

**Compliance – Wealth Management Trade Surveillance – Associate – Hong Kong** Conduct trade surveillance reviews, detect market misconduct, and collaborate with global teams. Key responsibilities include alert analysis, violation escalation, regulatory compliance, and project management. Essential skills: 5+ years in compliance, trade surveillance knowledge (e.g., SHARP / Reliance), investment strategies, analytical skills, and strong stakeholder communication. Enhance risk management, promote global CCOR program, and foster Diversity, Opportunity, and Inclusion.

Full Job Description

Location: Hong Kong

Join a dynamic team dedicated to innovation and excellence in risk management. As a Surveillance Associate, you'll play a pivotal role in identifying and mitigating market misconduct risks, collaborating with global and regional teams, and contributing to our commitment to Diversity, Opportunity, and Inclusion.

As a Compliance, Conduct and Operational Risk (CCOR) - Surveillance Associate within Wealth management Trade Surveillance, you will be instrumental in conducting reviews of trade surveillance alerts related to market manipulation and misconduct. You will collaborate with Line of Business Compliance, Management, and global/regional Surveillance teams to promote and enhance our global program. This role demands strong attention to detail, analytical skills, and the ability to manage multiple tasks in a fast-paced environment.

 

Job Responsibilities:

  • Review trade surveillance alerts and analyze trading and market activity to detect and deter potential market misconduct and other manipulative behaviors.
  • Escalate possible violations of rules, regulations, and procedures to management.
  • Assist in the design, testing, and implementation of new alerts and enhancements.
  • Conduct ad hoc and non-alert-based reviews for potential violations of policies, laws, rules, and regulations.
  • Manage multiple projects in a fast-paced environment.
  • Interface with compliance officers, legal, and other stakeholders to review and resolve potential compliance issues.
  • Assist in establishing internal control processes and developing/updating procedures.
  • General administration, reporting, and process document maintenance.
  • Engage with regional LOB/Core Functional Compliance Teams, various country compliance  in US and EMEA Surveillance Teams, senior business management, technology, and operations.
  • Contribute to the firms culture and Diversity, Opportunity and Inclusion program.


Required Qualifications, Capabilities, and Skills:

  • Bachelor's degree required.
  • 5+ years of experience in a Control/Compliance role, in Wealth Management or Asset management.
  • Knowledge of trade and communications surveillance processes and systems such as SHARP / Reliance / Connected Archive.
  • Familiarity with Asset and Wealth Management investment strategies and products, including mutual funds, structured products, stocks, fixed income, and derivatives.
  • Experience in reviewing alert scenario effectiveness and threshold calibration.
  • Excellent analytical skills and strong attention to detail.
  • Strong interpersonal, written, and oral communication skills.
  • Teamwork skills; flexibility in work style and ability to collaborate with stakeholders and colleagues at all levels.
  • Strong PC skills, including Microsoft Excel, SharePoint, Word, PowerPoint, and other reporting tools.
  • Ability to establish credibility and strong partnerships with senior business leaders, control functions, and corporate partners globally.
  • Proven ability to communicate effectively in English at all levels, both orally and in writing.
     
Enhance risk management through trade surveillance excellence.