Compliance Analyst
Millennium
New York, New York, United States of America$70,000 - $160,0002 months ago
104 views29 saves17 applies
Benefits
Performance Bonus
Job Type
full time
Description
Compliance Analyst
Principal Responsibilities
- Perform email reviews of trading groups for internal investigations
- Prepare weekly and monthly memos based on email surveillance review
- Assist in the development of policies and procedures that reflect changes in business, regulation and developing views on issues
- Keep up to date with relevant regulatory changes
- Other projects as needed
Qualifications/Skills Required
- BA degree; 1-2 years’ experience. College graduates will be considered as well, but must have a business degree (Finance, Economics, etc.).
- Experience in a compliance position at a RIA or Broker Dealer preferred or a strong interest in compliance
- Understanding of regulatory/self-regulatory agencies (e.g., FINRA, NYSE, FSA, CFTC) and the requirements of the Investment Advisers Act of 1940 and the Securities Act of 1933
- Good team player – one who is able to prioritize in a fast moving, high pressure, constantly changing environment
- Entrepreneurial inclination – ability to work alone and act as a project manager
- Ability to work with other departments and build smooth working relationships
- Strong writing, analytical and problem solving skills
- Comfortable with different technology applications
- Broad product and financial services industry knowledge a plus
The estimated base salary range for this position is $70,000 to $160,000, which is specific to New York and may change in the future. Millennium pays a total compensation package which includes a base salary, discretionary performance bonus, and a comprehensive benefits package. When finalizing an offer, we take into consideration an individual’s experience level and the qualifications they bring to the role to formulate a competitive total compensation package.
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