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Compliance / Legal


This sector contains all our legal & compliance jobs for finance professionals. Compliance roles are there to ensure banks, asset managers, hedge funds, insurance companies, and other forms of financial services firms are working in line with the regulations imposed by the country they're operating in. Compliance professionals liaise with front office employees on the business side of the organisation to educate salespeople, traders, M&A bankers, and other financial services employees on the expectations of national and supranational regulatory bodies and to make sure these regulatory requirements are met.

Regulatory jobs in financial services and investment banks can be divided into various categories, including:

Sales and trading compliance - working with a bank's salespeople and traders to ensure their activities comply with the requirements of the local regulator. Sales and trading compliance pros are often product specialists - for example, they might specialise in bonds, equities or derivatives.

Control room compliance - these workers perform tasks such as maintaining the bank's restricted list (which confines confidential information to key individuals), ensuring Chinese Walls are upheld and checking for abnormal or alarming dealing activity. The control room compliance team ensure staff placed on 'stop and watch' lists are stopped - and watched.

Monitoring and surveillance - scrutinise trading transactions and specific behaviour that might indicate fraudulent activity, such as insider dealing or manipulation of markets across the exchanges.

Anti-money laundering (AML) - stop money laundering (where the financial proceeds of illegal activities are given the appearance of being legitimate).

Asset managers,hedge funds, retail banks and insurance companies all recruit compliance staff. Regulation of financial services firms has increased and compliance has become increasingly important in the wake of the global financial crisis. As well as containing jobs for compliance officers, managers and senior professionals from compliance recruitment agencies, this section also includes jobs at financial services regulatory bodies such as the FSA (in the UK) and the SEC (in the US). Regulatory jobs frequently revolve around the enforcement of such regulations.

To ensure the documentation and contracts associated with their business fall within the law banks and financial services firms employ an army of lawyers or attorneys and paralegals in conjunction with compliance staff. This section also includes these legal jobs within financial services.

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Showing 1-30 of 586 jobs
Director - Legal Counsel, Global Markets Derwent Executive up to $250,000 package plus bonuses Australia-Sydney 23 May 12

Legal Councel for Australia reporting directly into the local Managing Director.

CCO | Chief Compliance Officer Albert Cliff $ DOE + Bonus UK-London 22 May 12

CCO will oversee all aspects of compliance in support of the Bank growing UK business. You will be responsible...

MSSB Compliance Project Manager Morgan Stanley not disclosed USA-NJ-Jersey City 22 May 12

See job description below

AML Investigations Manager Morgan Stanley not disclosed USA-NY-New York City 22 May 12

See job description below

SOX Compliance & Indepedence Manager BlackRock not disclosed USA-NY-New York City 22 May 12

See job description below

Team Coordinators (Legal & Travel Teams) Financial Services Not Disclosed Highly competitive (base + lucrative bon... USA-CT-Stamford 22 May 12

Seeking self-directed, motivated, client focused candidates with exceptional process management and people ski...

Associate, Compliance (Asset Management) Not Disclosed Highly competitive (base + lucrative bon... USA-CT-Stamford 22 May 12

Seeking a motivated individual with compliance experience (1 – 4 years experience "max"). Knowledge of the Inv...

Junior Product Consultant Not Disclosed $35,000 - $40,000 USA-NY-New York City 22 May 12

We are a global provider of specialised software solutions that improve the management of collateralised tradi...

Head of Registration Credit Suisse N/A USA-NY-New York City 22 May 12

ROLE SUMMARY: Our General Counsel team is looking for a Head of US Registrations in New York and will rep...

VP Negotiator Credit Suisse . USA-NY-New York City 22 May 12

Our General Counsel division is seeking a Negotiator in the Investment Bank's New York office.

Compliance Business Analyst II JPMorgan Chase not disclosed Hong Kong SAR 22 May 12

See job description below

Compliance Manager, TSS Compliance Hong Kong Location JPMorgan Chase not disclosed Hong Kong SAR 22 May 12

See job description below

Compliance Testing Officer Citi not disclosed UK 22 May 12

See job description below

Paralegal - EMEA Consumer Investments Citi not disclosed UK 22 May 12

See job description below

Governance Specialist Deutsche Bank USD USA-NY-New York City 22 May 12

Candidate should have excellent interpersonal and project management skills to work directly for Governance Di...

Regulatory Reporting Controller/Vice President Deutsche Bank Competitive USA-NY-New York City 22 May 12

Deutsche Bank "Best Global Investment Bank 2010" A Passion to Perform. It's what drives us. More than a cl...

Senior Compliance Manager Hays Financial Markets £300 a day UK-London 22 May 12

Senior Compliance Manager - Northampton Contract opportunity

Sanctions Director Hays Financial Markets Highly Competitive + Benefits + Bonus UK-London 22 May 12

Sanctions Director, City of London

Compliance Advisory – International Retail & Fundamental Equity Hays Financial Markets £Highly Competitive UK-London 22 May 12

Our client is a global asset manager , with a truly outstanding reputation

Equities Compliance Manager Hays Financial Markets £Negotiable UK-London 22 May 12

Highly prestigious City based firm has an immediate requirement

AML Analyst Hays Financial Markets £200 to £350 per day UK-London 22 May 12

A multinational bank requires an AML analyst for a 3-6 month contract to assist in a number of AML & PEP revie...

Regulatory Engagement - Premier Global Institution Hays Financial Markets £Excellent UK-London 22 May 12

Our client is one of the world's preeminent asset management firms and a premier provider of global investment...

Private Client Compliance Officer Not Disclosed £Excellent UK-London 22 May 12

Key role within well renowned private client Investment Manager

Business Analyst- Credit Risk - Business Objects Hays Financial Markets £400 to £600 per day UK-London 22 May 12

A global bank requires a Business Analyst to support a number of cross functional requirements within the risk...

Compliance : Business Management Associate Hays Financial Markets £Market Rate UK-London 22 May 12

A unique oppurtunity within one of the world's preeminent asset management firms Key Responsibilities:

Director Compliance Operations Risk, Investment Bank London Alexander Ash Consulting £1000 to £1500 per day UK-London 22 May 12

Director of Compliance for an Investment Bank in London

Director, Credit Risk Not Disclosed $175k base salary, plus substantial annu... USA-DC-Washington/Metro 22 May 12

Lead the expansion, development, and implementation of a cutting edge Credit Risk platform. Oversight of Mode...

Hong Kong - Senior Manager - Compliance, HKMA Macquarie Information not provided Hong Kong SAR 22 May 12

This role requires a highly experienced senior manager with solid experience communicating with HKMA regulator...

Documentation Manager - UK Wrapper Products Hays Financial Markets £400-£500 a day UK-London 22 May 12

Documentation Manager - UK Wrapper Products 6 Month Contract

AVP - Direct Channels Compliance Robert Half Financial Services Group $110,000.00 to $130,000.00 Canada-ON-Toronto 22 May 12

Direct Channels Compliance is a newly established group which will provide regulatory advice and oversight to ...

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