Susquehanna International Group

Compliance Officer - Marketing

Susquehanna International Group$150K — $200K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 6+ years of compliance experience in financial services focusing on marketing compliance
  • Strong knowledge of FINRA Rule 2210 and SEC advertising rules
  • Familiarity with international marketing requirements in the UK, EU, and APAC
  • Experience in AML, licensing, registration, and employee compliance matters
  • Excellent communication skills to guide non-compliance stakeholders
  • Highly organized in managing multiple review requests and priorities
  • Bachelor's degree preferred

Responsibilities

  • Review and approve marketing and social media content for regulatory compliance
  • Act as daily compliance resource for the marketing team
  • Develop and maintain marketing-related policies and procedures
  • Monitor global regulatory developments impacting marketing activities
  • Ensure consistent application of marketing standards with international teams
  • Support compliance functions including personal trading and AML
  • Assist with regulatory exams related to marketing and compliance
  • Review research analyst reports for compliance with regulations

Benefits

  • Comprehensive benefits package
  • Discretionary performance bonuses
  • Collaborative work environment across regions
  • Opportunities for professional development
  • Dynamic industry exposure and growth potential
Full Job Description
Overview

Susquehanna is looking for an experienced Compliance professional to join our team with a primary focus on marketing compliance while also supporting broader core compliance functions across the firm. This individual will partner closely with the marketing team to review and approve marketing materials ensuring they meet applicable global regulatory requirements, while also contributing to areas including but not limited to employee personal trading, AML, licensing and registration, policies and procedures, and other compliance matters. This individual may also be involved with the review of research analyst reports that are published by our institutional sales arm.

 

What You'll Do

  • Review, approve, and maintain records of marketing and social media content in accordance with applicable global regulatory requirements
  • Serve as the day to day compliance resource for the global marketing team, providing practical guidance on regulatory considerations for new campaigns, materials, and social media initiatives
  • Develop and maintain policies and procedures related to marketing, communications, and social media
  • Monitor regulatory developments across jurisdictions and assess the impact on the firm's marketing and social media activities globally
  • Partner with Compliance and Marketing colleagues across regions to ensure consistent application of marketing standards internationally
  • Support broader core compliance functions including employee personal trading, AML, licensing and registration, and other compliance matters
  • Assist with regulatory examinations and inquiries related to marketing, communications, and other compliance areas
  • Review research analyst reports to ensure compliance with applicable regulatory requirements and internal policies
What we’re looking for
  • 6 or more years of compliance experience at a broker dealer, asset manager, or financial services firm with a focus on marketing compliance and broader regulatory compliance functions
  • Strong working knowledge of FINRA Rule 2210, SEC advertising rules including the Investment Adviser Marketing Rule, and social media compliance requirements
  • Familiarity with international marketing requirements across key jurisdictions such as the UK, EU, and APAC is a plus
  • Familiarity with AML, licensing and registration, and employee compliance matters
  • Strong communication skills and ability to provide clear practical guidance to non-compliance stakeholders
  • Highly organized with the ability to manage a high volume of review requests and competing priorities
  • Bachelor's degree preferred
  • Visa sponsorship is not available for this position

 

The annual base pay range for this role is $150,000 - $200,000 + discretionary bonus + benefits. Susquehanna considers factors such as scope and responsibilities of the position, work experience, education/training, key skills, as well as market and organizational considerations when extending an offer.

 

If you're a recruiting agency and want to partner with us, please reach out to [email protected]. Any resume or referral submitted in the absence of a signed agreement will not be eligible for an agency fee.

 

#LI-CB1 #LI-Onsite 

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

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