Chief Compliance Officer - Principal Trading
Company: International Erosion Control Association
Location: Jersey City
Posted on: January 28, 2025
Job Description:
SpeedRoute LLC, Inc. (SPDR) is a regulated U.S. broker dealer
that assists more than 100 U.S. broker dealers in the routing of
their customer orders to various U.S. securities trading venues. To
that end, SPDR connects to more than 40 discrete markets, utilizing
sophisticated routing technology, and providing its broker-dealer
clients customized routing solutions.The CCO-PT will oversee the
compliance program of the principal trading activities to be
conducted by SPDR. The CCO-PT will ensure the firm adheres to all
applicable regulatory requirements, mitigate compliance risks, and
promote a culture of integrity and accountability. This role
requires extensive knowledge of SEC and FINRA regulations, as well
as hands-on experience managing compliance in a trading
environment.The CCO-PT reports to the President of SPDR and works
closely with the entire SPDR team of technology developers, trading
operators, and the two current members of the SPDR compliance team.
This hybrid position is based in our Jersey City office (within a
block of the Exchange Place PATH Station) and in-office attendance
of 3 days per week is required.Key Responsibilities:Regulatory
Compliance Program Development:
- Design, implement, and manage the firm's compliance program,
ensuring adherence to all applicable laws, regulations, and
industry standards (e.g., SEC, FINRA, MSRB).
- Develop and maintain policies and procedures for principal and
proprietary trading activities.Regulatory Liaison:
- Serve as the primary point of contact with regulatory bodies,
including FINRA, SEC, and other relevant authorities.
- Oversee regulatory filings (e.g., Form BD, Rule 606 reports)
and respond promptly to regulatory inquiries, audits, and
examinations.Supervisory Oversight:
- Ensure effective supervisory controls are in place for
principal trading and proprietary trading activities.
- Monitor and review trading activities to detect and prevent
market abuse, conflicts of interest, and other compliance
risks.
- Manage compliance aspects of best execution, order routing, and
trade reporting.Risk Assessment and Monitoring:
- Conduct periodic compliance risk assessments and audits of the
firm's trading activities.
- Implement surveillance tools and systems to monitor trading for
compliance with regulatory requirements and internal
policies.Training and Education:
- Develop and deliver compliance training programs for employees,
emphasizing ethical practices and regulatory responsibilities.
- Keep staff informed of regulatory changes and their
implications for the firm's operations.Leadership and Strategy:
- Act as a trusted advisor to senior management on compliance and
regulatory matters.
- Align the compliance function with the firm's strategic goals,
fostering a culture of compliance across all levels of the
organization.
- Supervise and mentor compliance staff, ensuring a
high-performing compliance team.Qualifications:Experience:
- Minimum 10 years of compliance experience in a broker-dealer
environment, with a focus on principal trading or proprietary
trading and managing algorithmic trading activities.
- Experience managing compliance for principal trading
activities, including regulatory reporting and trade
surveillance.
- Demonstrated expertise in SEC and FINRA rules governing
principal trading activities.Licenses:
- Active FINRA Series 14 or 24. Strong preference for candidates
who possess any or all of the following active licenses: 7, 55 or
57, and 99.
- Additional certifications (e.g., CAMS, CFA, or relevant legal
qualifications) are a plus.Knowledge and Skills:
- In-depth understanding of securities laws, FINRA rules, and
principal trading regulations (e.g., Regulation SHO, Market Access
Rule, Rule 15c3-5).
- Familiarity with trading technologies, algorithms, and market
structure.
- Strong analytical, problem-solving, and decision-making
skills.
- Excellent communication skills, both written and
verbal.Education:
- Bachelor's degree required; advanced degree (e.g., JD, MBA) is
a plus.Compensation and Benefits:
- Competitive salary commensurate with experience.
- Comprehensive benefits package, including health insurance,
retirement plans, and paid time off.
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Keywords: International Erosion Control Association, East Orange , Chief Compliance Officer - Principal Trading, Accounting, Auditing , Jersey City, New Jersey
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