
at Millennium
Hedge FundsPosted 4 days ago
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**Compliance Analyst** maintains Millennium's trading compliance. Singapore-based, they conduct communications reviews, produce reports, monitor regulations, and enhance policies. Requires a bachelor's degree, 1-2 years in compliance, and a strong grasp of FCA and SEC rules, along with exceptional writing, analysis, and prioritization skills. This role demands independence, adaptability, and collaboration using Microsoft Office Suite and other technologies.
- Compensation
- Not specified
- City
- Not specified
- Country
- United Kingdom
Currency: Not specified
Full Job Description
About Millennium
Millennium is a global, diversified alternative investment firm, founded in 1989. Defined by evolution, innovation and focus, Millenniums mission is to deliver results for our investors.
Our people are empowered with both independence and support: the autonomy to pursue ideas with conviction and the backing of a global network committed to collaboration, disciplined risk management and continuous learning. With opportunities to deepen expertise and accelerate development, talent at Millennium is equipped to adapt, evolve and build lasting impact over time. Discover how transformative growth accelerates impact.
Meet the Team
The Compliance Department at Millennium serves to adopt, implement and enforce a compliance program that includes policies and procedures, processes, systems, controls, surveillance, testing and reporting. In London, the team operates within a disciplined and well-controlled framework designed to help prevent and detect violations of applicable laws, rules, regulatory requirements and firm policies, while supporting the evolving needs of the business.
What You'll Do
Conduct communications reviews for trading teams and perform targeted searches in support of internal investigations
Prepare clear, well-structured weekly and monthly memos summarizing findings from email surveillance reviews
Support the development and enhancement of compliance policies and procedures to reflect business changes, regulatory developments and emerging compliance risks
Monitor relevant regulatory developments and help assess their impact on the firms compliance framework
Contribute to the effectiveness, scalability and robustness of the firms email monitoring program
Partner on a range of compliance-related projects as needed across the department
What You Bring
Bachelors degree, preferably in Business, Finance, Economics or a related field, with 12 years of relevant experience
Prior compliance experience conducting electronic communications reviews at a Registered Investment Adviser or Broker-Dealer preferred
Strong understanding of applicable regulatory requirements, including FCA and SEC rules and expectations
Strong writing, analytical and problem-solving skills, with the ability to produce clear and effective compliance documentation
Ability to prioritize work and perform effectively in a fast-paced, high-pressure and evolving environment
Entrepreneurial, self-directed approach, with the ability to manage projects independently and follow through on deliverables
Strong interpersonal and collaboration skills, with the ability to build effective working relationships across departments
Proficiency with Microsoft Excel, Word and PowerPoint, along with confidence using a range of technology tools and applications




