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Compliance Officer Swap Dealer and Wholesale Compliance - Vice President(m/w/x)
Ensuring CFTC and NFA compliance for a global financial services group. Practical understanding of Swap Dealer regulations required. Support for corporate functions, interaction with regulators.
Anforderungen
- Studies in law, economics, or similar; professional education and relevant experience
- Relevant professional experience
- Good written and verbal communication skills
- Practical understanding of CFTC Swap Dealer Regulations, MiFID, German and European legislation
- Knowledge of Title VII of Dodd Frank Act
- Knowledge of relevant FCA/PRA rules is an asset
- Experience with 2nd line testing and monitoring or 3rd line audit testing
- Experience with SD and SBSD rules and requirements ideally
- Compliance and/or regulatory experience or equivalent
- Focus on Dodd Frank SD regulations ideally
- Strong understanding of 3LOD model and Compliance role
- Resilient team player interacting with various individuals and seniority
- Curious, check and challenge mentality
- Continuous improvement mentality
- Clear and concise communication of advice/guidance
- Ability to work independently
- Well-developed analytical skills
- Ability to distil complex information into briefings
- Methodical with strong attention to detail
- Ability to work well under pressure
- Ability to move between tasks quickly
- Ability to project manage regulatory matters
- Knowledge of Global Markets businesses
- Ability to work well under pressure
- Strong organisational skills
- Ability to collaborate with various functional teams
- Strong prioritisation skills
- Strong time management skills
- Ability to work proactively individually and in team
- Responsibility to achieve results in set timeframe
Aufgaben
- Ensure compliance with CFTC and NFA regulations
- Support interactions with CFTC and NFA
- Maintain Swap Dealer governance framework
- Supervise outsourced processes and controls
- Provide compliance support for corporate functions
- Track and advise on US OTC derivatives regulatory changes
- Maintain SD Compliance policies and procedures
- Design and deliver US regulatory training
- Support US registration obligations
- Oversee US regulatory reporting and filing
- Respond to US regulatory inquiries and examinations
- Track and report non-compliance issues
- Compile and file NFPE SD annual reports
- Manage day-to-day compliance program operations
- Conduct periodic compliance reviews
- Provide compliance advisory services
- Enhance risk analysis and control framework
- Support business units in managing regulatory risks
- Liaise with branches and EMEA stakeholders
- Execute compliance monitoring and testing
- Identify and report compliance issues
- Drive closure of compliance monitoring recommendations
- Prepare regulatory registrations and reports
- Liaise with Registration and Trade Surveillance Departments
- Coordinate completion of Due Diligence Questionnaires
- Ensure regulatory developments are implemented
- Perform gap analysis of regulatory requirements
- Contribute to Nomura's risk management and protection
Berufserfahrung
- ca. 1 - 4 Jahre
Ausbildung
- Abgeschlossene BerufsausbildungODER
- Bachelor-Abschluss
Sprachen
- Englisch – verhandlungssicher
- Deutsch – verhandlungssicher
Tools & Technologien
- Microsoft Office
- Excel
- Power Point
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BetaDein Career Agent findet täglich ähnliche Jobs für dich.
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Compliance Officer Swap Dealer and Wholesale Compliance - Vice President(m/w/x)
Ensuring CFTC and NFA compliance for a global financial services group. Practical understanding of Swap Dealer regulations required. Support for corporate functions, interaction with regulators.
Anforderungen
- Studies in law, economics, or similar; professional education and relevant experience
- Relevant professional experience
- Good written and verbal communication skills
- Practical understanding of CFTC Swap Dealer Regulations, MiFID, German and European legislation
- Knowledge of Title VII of Dodd Frank Act
- Knowledge of relevant FCA/PRA rules is an asset
- Experience with 2nd line testing and monitoring or 3rd line audit testing
- Experience with SD and SBSD rules and requirements ideally
- Compliance and/or regulatory experience or equivalent
- Focus on Dodd Frank SD regulations ideally
- Strong understanding of 3LOD model and Compliance role
- Resilient team player interacting with various individuals and seniority
- Curious, check and challenge mentality
- Continuous improvement mentality
- Clear and concise communication of advice/guidance
- Ability to work independently
- Well-developed analytical skills
- Ability to distil complex information into briefings
- Methodical with strong attention to detail
- Ability to work well under pressure
- Ability to move between tasks quickly
- Ability to project manage regulatory matters
- Knowledge of Global Markets businesses
- Ability to work well under pressure
- Strong organisational skills
- Ability to collaborate with various functional teams
- Strong prioritisation skills
- Strong time management skills
- Ability to work proactively individually and in team
- Responsibility to achieve results in set timeframe
Aufgaben
- Ensure compliance with CFTC and NFA regulations
- Support interactions with CFTC and NFA
- Maintain Swap Dealer governance framework
- Supervise outsourced processes and controls
- Provide compliance support for corporate functions
- Track and advise on US OTC derivatives regulatory changes
- Maintain SD Compliance policies and procedures
- Design and deliver US regulatory training
- Support US registration obligations
- Oversee US regulatory reporting and filing
- Respond to US regulatory inquiries and examinations
- Track and report non-compliance issues
- Compile and file NFPE SD annual reports
- Manage day-to-day compliance program operations
- Conduct periodic compliance reviews
- Provide compliance advisory services
- Enhance risk analysis and control framework
- Support business units in managing regulatory risks
- Liaise with branches and EMEA stakeholders
- Execute compliance monitoring and testing
- Identify and report compliance issues
- Drive closure of compliance monitoring recommendations
- Prepare regulatory registrations and reports
- Liaise with Registration and Trade Surveillance Departments
- Coordinate completion of Due Diligence Questionnaires
- Ensure regulatory developments are implemented
- Perform gap analysis of regulatory requirements
- Contribute to Nomura's risk management and protection
Berufserfahrung
- ca. 1 - 4 Jahre
Ausbildung
- Abgeschlossene BerufsausbildungODER
- Bachelor-Abschluss
Sprachen
- Englisch – verhandlungssicher
- Deutsch – verhandlungssicher
Tools & Technologien
- Microsoft Office
- Excel
- Power Point
Gefällt dir diese Stelle?
BetaDein Career Agent findet täglich ähnliche Jobs für dich.
Über das Unternehmen
Nomura
Branche
FinancialServices
Beschreibung
The company is a global financial services group providing solutions in Wealth Management, Investment Management, and Wholesale.
Noch nicht perfekt?
- Nomura Holdings, inc.
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