Join a premier, top-tier hedge fund operating at the forefront of global markets.
This is a high-impact opportunity to sit close to the business and collaborate with world-class investment, quant, and tech teams.
Responsibilities
- Support global trading activity, product launches, and strategy expansion within a complex regulatory framework.
- Collaborate with cross-functional teams to enhance trade surveillance, research, and data compliance tools.
- Conduct daily trade monitoring, periodic testing, and assist with regulatory filings and audits.
- Lead compliance training efforts and review marketing materials for regulatory alignment.
- Maintain policies and procedures, track regulatory developments (SEC, NFA, CFTC), and contribute to ongoing risk assessments.
Requirements
- 1–3 years of compliance experience (hedge fund or asset manager preferred)
- Familiarity with SEC, CFTC, and NFA regulations
- Strong analytical skills and attention to detail
- Clear communicator with a proactive, team-first mindset