This Top Tier Bank is one of the largest financial institutions in the world, with a strong presence in Investment Banking, Corporate Banking and Private Banking. Despite its size, the Compliance function has held on to its excellent culture, having built up a robust function due to strong endorsement from senior leadership. Attrition is low and staff satisfaction high. Given the investment being made into the Compliance department you will gain unrivalled exposure to complex regulatory matters, offering you strong professional development opportunities.
You will conduct trade and communications surveillance for the fixed income business lines that are set up across EMEA within this Investment Bank.
Within Surveillance specifically, regulators and the senior management this Bank has an increasing desire for having best in class Surveillance systems and processes to identify misconduct, offering a significant development opportunity.
The hiring manager has asked to see former members of the front office, as he appreciates the unique understanding of front office behaviour that such experience brings.
If you have a strong background within Fixed Income trading - specifically with exposure to Rates, FX and Credit - and are keen on moving into Compliance, then please apply to have your CV sent to Tom Warren, Senior Compliance Recruitment Consultant, at Twenty Recruitment.
Twenty Recruitment's Compliance function are a team of specialist consultants covering Financial Crime Compliance and Regulatory Compliance mandates, both permanent and temporary, across Financial Services, Technology and Energy.