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Larson Maddox
Manhattan, New York, UNITED STATES
(on-site)
Posted
24 days ago
Larson Maddox
Manhattan, New York, UNITED STATES
(on-site)
Job Function
Legal Support
Senior Equities Compliance Advisor
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Senior Equities Compliance Advisor
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Description
A leading global broker‑dealer is seeking a seasoned Institutional Equities Compliance Advisor to join its high‑impact Equities Advisory team. This is a critical hire supporting a fast‑growing Equities platform, including Cash Equities, Equity Derivatives, Electronic/Algorithmic Trading, and Market Access.In this role, you will serve as a trusted advisor to senior business leaders, ensuring that trading activity complies with SEC, FINRA, and global regulatory requirements. You'll partner closely with Sales & Trading, Electronic Trading, Technology, and Control partners to proactively identify risks and drive a strong culture of compliance.
Key Responsibilities
- Provide real‑time advisory to Equities businesses across cash, derivatives, electronic/algorithmic trading, and program trading.
- Advise on regulatory requirements including Reg NMS, Reg SHO, Reg M, Market Access Rule 15c3‑5, Reg ATS, CAT reporting, Best Execution, and relevant FINRA/SEC obligations.
- Partner with front‑office leadership to assess new products, trading strategies, platform enhancements, and venue connectivity.
- Support regulatory inquiries, exams, and audits by coordinating timely and accurate responses.
- Review and enhance policies, procedures, written supervisory procedures (WSPs), and control frameworks supporting the Equities business.
- Collaborate with Surveillance, Technology, and Risk teams to evaluate and enhance monitoring tools covering sales & trading, market abuse, and operational risks.
- Deliver periodic training to Sales & Trading desks on regulatory developments and compliance expectations.
- Escalate issues, emerging risks, and potential regulatory gaps to senior Compliance leadership.
Qualifications
- 5-10+ years of experience in Equities Compliance, Regulatory Advisory, Surveillance, or a related control function.
- Strong understanding of U.S. equities market structure, trading rules, and regulatory frameworks.
- Experience supporting Equities Sales & Trading, Equity Derivatives, or Electronic Trading businesses.
- Ability to interpret, apply, and communicate complex regulations to business stakeholders at all levels.
- Demonstrated experience interacting with regulators such as SEC, FINRA, and SROs.
- Excellent communication, analytical, and problem‑solving skills.
- Strong judgment, a proactive mindset, and the ability to navigate fast‑paced, time‑sensitive situations.
Job ID: 82255158
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