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Surveillance Compliance Officer
Il y a 2 mois
About Marex Spectron
Marex Spectron is a leading global financial services platform, providing essential liquidity, market access, and infrastructure services to clients in the energy, commodities, and financial markets.
The Group offers a comprehensive range of services, including Market Making, Clearing, Hedging, and Investment Solutions, as well as Agency and Execution. It has a significant presence in many major metals, energy, and agricultural products, executing around 50 million trades and clearing 205 million contracts in 2022.
Marex Spectron provides access to the world's major commodity markets, covering a broad range of clients that include some of the largest commodity producers, consumers, and traders, banks, hedge funds, and asset managers.
The company was established in 2005, but through its subsidiaries, it can trace its roots in the commodity markets back almost 100 years. Headquartered in London with 36 offices worldwide, the Group has over 1,800 employees across Europe, Asia, and America.
Marex Spectron has unique access across markets with significant share globally both on and off exchange. The depth of knowledge amongst its teams and divisions provides its customers with a clear advantage, and its technology-led service provides access to all major exchanges, order-flow management via screen, voice, and DMA, plus award-winning data, insights, and analytics.
Role Summary
Marex Spectron, the European Entity within the Marex Group, is seeking a Surveillance Compliance Officer to join their team in either Paris or London. The role will primarily focus on Surveillance (Trade Activity and Communications) across a range of asset classes (Cash Equity, Fixed Income, FX, Commodities, Listed Derivatives, structured products, Swaps) on multiple exchanges, trading platforms, and venues with an opportunity to gain exposure to a wider range of compliance activities at a market-leading broking company.
Key Responsibilities
- Monitoring trading activity, using industry-recognised systems and solutions.
- Timely and accurate investigation and disposition of market abuse and communication surveillance alerts and reports.
- Conduct reviews and analysis of trading activity to identify potentially suspicious activity and/or behaviour/patterns.
- Identification and escalation of potential suspicious orders, trades, and communications or any other suspicious activity to the relevant internal stakeholders/Senior Management in accordance with Firm policies and procedures.
- Ensuring escalation results, supporting documents, and findings are documented, recorded, and reported to relevant stakeholders and management.
- Proactive contribution to the continuous enhancements and improvement of the effectiveness and efficiency of the Surveillance system, solutions, and processes.
- Participate in new alerts implementation and calibration testing for new and existing alert types.
- Participate in requests for information from Regulators, Exchanges, and external counterparties in regulatory enquiries from a surveillance perspective.
- Proactively share industry/Market Abuse knowledge with the wider Surveillance team.
- Participate in other surveillance projects and work as required by the Head of Surveillance or the Head of Compliance France.
Requirements
- Minimum of 3 years working in a financial market-related Surveillance role with a good understanding of Market Abuse rules, regulations, obligations, and expectations.
- Experience of compliance monitoring of trading desks is desirable.
- Demonstrable experience working with Trade Surveillance systems and Alerts.
- Fluency in French and English is a prerequisite for the role.
- Good understanding and knowledge of financial markets, trading, and financial products.
- Excellent data analysis and interpretation skills.
- Ability to draft reports in a concise, professional, and succinct manner with good attention to detail and accuracy.
- A strong understanding of Market Abuse and Conduct Rules and expectations within a financial regulatory environment.
- Ability to communicate clearly and effectively and to adapt quickly to new environments, situations, challenges, processes, and tasks.
- Capacity to analyse issues, behaviours, and patterns and to synthesise and communicate findings and outcomes in an effective manner.
- Experienced in dealing with exchanges and regulators.
- Strong team player, experience of dealing with a variety of stakeholders.
- Knowledge of Global Relay, SMARTS Broker, BTCA or equivalent surveillance tools.
- Educated to master level (business school/university) in a related subject.
Competencies
- Excellent verbal and written communication skills.
- A collaborative team player, approachable, self-efficient, and influences a positive work environment.
- Demonstrates curiosity.
- Resilient in a challenging, fast-paced environment.
- Excels at building relationships, networking, and influencing others.
- Strategic collaborator with insight and agility, able to anticipate future challenges, ensuring operational effectiveness.
Conduct Rules
You must:
- Act with integrity.
- Act with due skill, care, and diligence.
- Be open and cooperative with the FCA, the PRA, and other regulators.
- PAY due regard to the interests of customers and treat them fairly.
- Observe proper standard of market conduct.
- Act to deliver good outcomes for retail customers.