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Compliance Monitoring and Surveillance Officer

Posted 13 days 8 hours ago by Compliance Professionals

Permanent
Full Time
Other
London, United Kingdom
Job Description
THE COMPANY:

We are working with a great client of ours, a leading securities business, in their search for a Compliance Monitoring and Surveillance Officer. Principal tasks include execution and enhancement of the firm's Compliance Monitoring Programme (CMP), alongside ongoing thematic surveillance.

THE RESPONSIBILITIES: Compliance Monitoring Plan (CMP)
  • Maintain, enhance and execute a risk-based Compliance Monitoring Plan covering equity and fixed income sales and trading activities.
  • Conduct thematic and periodic reviews across key risk areas
  • Document findings, assess root causes, and track remediation actions to completion.
  • Regularly review and update the CMP to reflect regulatory developments and business changes.
  • Update and enhance Compliance policies and procedures where monitoring outcomes identify a need for enhancements,
  • Ensure relevant action is taken where training needs are identified during or as a result of the monitoring
Trade & Communications Surveillance
  • Perform ongoing surveillance of trading activity to identify potential market abuse (e.g., insider dealing, market manipulation) in line with Market Abuse Regulation (MAR).
  • Monitor electronic communications (emails, chats, voice where applicable)
  • Investigate alerts generated from surveillance systems and elevate issues where necessary.
  • Calibrate and enhance surveillance scenarios and thresholds to improve effectiveness and reduce false positives.
Monitoring & Testing
  • Conduct control testing to assess the effectiveness of compliance controls
  • Perform sample-based reviews of trades, client interactions, and transaction reporting to ensure regulatory compliance.
  • Assess adherence to policies such as personal account dealing, gifts & entertainment, and information barriers.
Regulatory Reporting & MI
  • Prepare clear, concise compliance monitoring reports for senior management and relevant governance committees.
  • Produce management information (MI) and trend analysis to identify emerging risks and areas of concern.
  • Support regulatory reporting obligations and assist with FCA queries, thematic reviews, and inspections.
Advisory & Stakeholder Engagement
  • Provide compliance guidance to equity and fixed income sales and trading teams
  • Partner with Front Office to embed a strong conduct and compliance culture.
  • Deliver training on surveillance, market conduct, and regulatory expectations.
EXPERIENCE REQUIRED:
  • Experience in a compliance monitoring/market surveillance role within the financial services industry.
  • Strong knowledge of relevant regulations including but not limited to Market Abuse Regulation (MAR); MiFID II / MiFIR; and FCA Handbook (e.g., SYSC, COBS)
  • Demonstrable experience covering equity and fixed income products in an institutional sales and trading environment ideally
  • Familiarity with surveillance systems and alert handling processes.
  • Strong analytical and investigative skills with attention to detail.

For further information please contact Natalie Eshelby

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