Susquehanna International Group

Regulatory Counsel

Susquehanna International Group • $135K — $160K *
Legal & Accounting
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Minimum of 5 years in securities law or broker-dealer compliance
  • Working knowledge of FINRA rules and SEC regulations
  • Strong analytical and research skills
  • Excellent written communication abilities
  • Jurisdiction Doctor (J.D.) degree required

Responsibilities

  • Advise on regulatory requirements related to trading and markets
  • Assess new regulations and their impact on operations
  • Draft supervisory procedures and compliance documentation
  • Support responses to regulatory examinations and inquiries
  • Coordinate with compliance department to enhance existing frameworks

Benefits

  • Opportunity to work in a dynamic compliance environment
  • Collaborate with diverse teams across the firm
  • Engage directly with regulators and market participants
  • Access to professional development in regulatory law
  • Located in Bala Cynwyd headquarters
Full Job Description
Overview

Susquehanna has an opportunity for an Attorney to join our Regulatory Counsel Team within our Compliance department in our Bala Cynwyd headquarters. This team provides legal and regulatory guidance to support the firm's compliance program and interfaces directly with trading, technology, operations, and legal teams as well as with external regulators, market participants, and others.

In this role you will:
  • Advise Susquehanna personnel about regulatory requirements regarding securities, commodities and swaps, particularly focused on matters related to trading and markets
  • Assess new regulations and their impact on Susquehanna, advise staff, and assist in coordination with other members of the compliance department to implement and/or enhance existing framework
  • Draft written supervisory procedures and other compliance documents
  • Support responses to regulatory examinations, inquiries, and requests for information from FINRA, the SEC, and other regulators

What we're looking for

  • Minimum of 5 years of experience in securities law, broker-dealer compliance, or a related regulatory role (law firm, in-house, or regulator)
  • Working knowledge of FINRA rules, Securities Exchange Act of 1934, and related SEC regulations
  • Strong analytical, research, and written communication skills
  • Ability to manage multiple projects and deadlines independently
  • Juris Doctor

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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