
at Millennium
Hedge FundsPosted 2 months ago
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The Firm is seeking a Compliance Analyst to join our Compliance Department in Dublin, Ireland. The successful candidate will be responsible for conducting email reviews of trading groups and supporting various compliance projects to ensure the effectiveness, scalability, and robustness of the firm's email monitoring program. Key responsibilities include conducting email communications reviews, preparing weekly and monthly memos, and assisting in the development and enhancement of policies and procedures in response to changes in business and regulatory requirements. The role requires staying up to date with regulatory developments and collaborating across departments.
- Compensation
- Not specified
- City
- Dublin
- Country
- Ireland
Currency: Not specified
Full Job Description
Job Title: Compliance Analyst
Department: Compliance
Location: Dublin, Ireland
The Firm is seeking a Compliance Analyst to join our Compliance Department in the Dublin, Ireland office. The successful candidate will be responsible for conducting email reviews of trading groups and supporting various compliance projects. This role is critical to ensure the effectiveness, scalability, and robustness of the firm’s email monitoring program.
Key Responsibilities:
- Conduct email communication reviews for trading groups and perform searches related to internal investigations.
- Prepare weekly and monthly memos summarizing findings from email surveillance reviews.
- Assist in the development and enhancement of policies and procedures to reflect changes in business, regulations, and emerging compliance issues.
- Stay up to date with relevant regulatory developments and changes.
- Participate in other compliance-related projects as needed.
Qualifications and Skills:
- Bachelor’s degree (preferably in Business, Finance, Economics, or a related field) with at least 3 years of experience.
- Prior experience in a compliance role at a Registered Investment Adviser (RIA) or Broker-Dealer is preferred.
- Strong understanding of regulatory and self-regulatory agencies (e.g., Central Bank of Ireland, FCA, SEC, CFTC, MAS) and familiarity with key regulations such as the Investment Advisers Act of 1940, Securities Act of 1933, and Financial Services and Markets Act 2000 (FSMA).
- Excellent team player with the ability to prioritize tasks in a fast-paced, high-pressure, and constantly evolving environment.
- Entrepreneurial mindset with the ability to work independently and manage projects effectively.
- Strong interpersonal skills with the ability to collaborate across departments and build effective working relationships.
- Exceptional writing, analytical, and problem-solving skills.
- Proficiency with various technological applications and tools.
- Broad knowledge of financial products and the financial services industry is a plus.
- Experience with Microsoft Excel, Word, and PowerPoint.



