Compliance Analyst

Verition Group LLC

$80K — $100K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • BA/BS or equivalent required.
  • Generalist compliance experience across trade surveillance and core compliance.
  • Excellent analytical, organizational, and communication skills essential.
  • Detail-oriented with high integrity and professionalism.
  • Ability to manage confidential information discreetly.

Responsibilities

  • Monitor and enforce compliance with the company's Code of Ethics.
  • Assist in developing and implementing compliance training programs.
  • Review securities transactions per personal trading policy.
  • Conduct audits and testing to ensure compliance adherence.
  • Collaborate with departments on compliance-related matters.
  • Manage records of compliance activities and Code of Ethics.
  • Assist with trade surveillance and regulatory filings.

Benefits

  • Opportunity for career development in compliance within the financial services sector.
  • Collaborative environment with a supportive Legal/Compliance team.
  • Exposure to a multi-strategy hedge fund operations.
  • Involvement in training programs enhancing compliance knowledge.
  • Engagement in diverse compliance activities across departments.
Full Job Description
Title: Compliance Analyst

Location: New York, NY or Greenwich/Norwalk, CT

Desired Years of Experience: 0-3 years

Summary:

We are seeking a Compliance Analyst to join our Legal/Compliance team based in New York, NY. As a Compliance Analyst, you will play a critical role in ensuring that all business practices adhere to internal ethical standards as well as regulatory requirements. This entry-level position is ideal for candidates who are looking to develop a career in compliance within the financial services industry. This person would work closely with the Legal/Compliance team on both Code of Ethics and the day-to-day compliance needs of a growing multi-strategy hedge fund.

Key Responsibilities:
  • Monitor and enforce compliance with the company's Code of Ethics, including oversight of personal trading, conflicts of interest, gifts and entertainment, and other ethical conduct policies.
  • Assist in the development and implementation of compliance training programs for employees.
  • Review securities transactions in accordance with the firm's personal trading policy.
  • Conduct periodic audits, testing, and reviews to ensure adherence to the Code of Ethics, documenting findings and recommend corrective actions, as necessary.
  • Ongoing Monitoring, Review and Approval of Firm's Expert Network consultations
  • Collaborate with various departments on Compliance-related matters.
  • Manage and maintain records of compliance and Code of Ethics activities.
  • Assist with communications and trade surveillance.
  • Assist with the preparation of periodic Regulatory filings
  • Respond to queries from employees regarding compliance issues and provide guidance.

Qualifications
  • BA/BS or equivalent.
  • Generalist compliance experience across trade surveillance, core compliance, code of ethics, reports, etc.
  • Excellent analytical, organizational, and communication skills.
  • Detail-oriented with a high degree of integrity and professionalism.
  • Ability to handle confidential information with discretion.


Salary Range

$80,000-$100,000 USD

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