Susquehanna International Group

Compliance Analyst

Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5+ years of experience in compliance, regulatory roles, or project management.
  • Strong confidentiality and sensitivity regarding information handling.
  • Meticulous attention to detail with accurate tracking and documentation.
  • Ability to respond to employee inquiries effectively.
  • Systematic workflow management skills.
  • Proficient in Excel and SQL for data analysis and reporting.
  • Bachelor's degree required.

Responsibilities

  • Coordinate the trader licensing processes and industry exam tracking.
  • Manage continuing education requirements and ensure timely completions.
  • Handle individual registrations with Susquehanna entities.
  • Maintain accurate records of licensee status and renewal deadlines.
  • Administer the personal trading policy daily and address employee inquiries.
  • Conduct routine reviews to find and fix compliance gaps.
  • Escalate issues and support improvements to compliance policies.

Benefits

  • Supportive corporate culture emphasizing compliance and ethics.
  • Opportunities for professional development in a structured environment.
  • Access to educational resources related to regulatory practices.
Full Job Description
Overview

Susquehanna is looking for a Compliance Analyst to support core areas of our regulatory and policy framework including trader licensing and registration, the administration of our personal trading policy, and other responsibilities. This role is central to keeping our compliance operations running smoothly and ensuring our employees remain informed, registered, and in good standing. This is a great fit for someone who thrives in a structured environment, takes ownership of detail-oriented processes, and understands the importance of confidentiality in a financial services setting.

What You'll Do

Licensing & Registration
  • Coordinate trader licensing processes and track required industry exams
  • Manage continuing education requirements and ensure timely completion
  • Handle individual registrations with the appropriate Susquehanna entity
  • Maintain accurate records of licensee status and upcoming renewal deadlines


Personal Trading Policy Administration
  • Administer Susquehanna's personal trading policy on a day-to-day basis
  • Serve as a point of contact for employee questions and requests related to the policy
  • Conduct routine reviews to identify and address potential compliance gaps
  • Escalate issues as appropriate and support ongoing policy improvements

What we're looking for

  • 5+ years of experience in roles that involve critical thinking, coordination, and project management
  • High regard for sensitive and confidential information
  • Attention to detail; meticulous accuracy in tracking and documentation
  • Comfortable fielding inquiries from employees across the firm
  • Systematic approach to managing recurring workflows
  • Excel & SQL: Comfort working with data to support reviews and reporting
  • A bachelor's degree is required
  • Visa sponsorship for work authorization is not available for this position now or in the future.


About Susquehanna International Group

Susquehanna International Group is a global quantitative trading firm that was founded in 1987. The company specializes in trading options, futures, equities, and other securities. It has offices in North America, Europe, and Asia and employs over 2,500 people. The company is known for its innovative trading strategies and advanced technology. It is also involved in venture capital and private equity investments.
Learn more about Susquehanna International Group
Size
2,500 employees
Industry
Founded
1987

Similar Jobs

More Jobs at Susquehanna International Group

More Finance & Insurance Jobs

Find similar Compliance Analyst jobs: