Compliance Officer

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THE COMPANY:

We are delighted to be working with a long/short equities hedge fund, who are looking for a 2nd in command for their Compliance team.

THE RESPONSIBILITIES:

  • Support the ongoing development of the Firm’s Compliance programme (including market abuse, employee conduct, expert network and ecomms surveillance), focussing on automating controls, updating workflows and systematisation;
  • Provide real‑time guidance and advice to the Firm’s investment and non‑investment team on key European and US rules, regulations and internal policies;
  • Provide support with the interpretation and implementation of new rules/regulation – assessing regulatory risks, regulatory changes and potential impact to the Firm’s business;
  • Support the review of the Firm’s market abuse surveillances, technology and algorithms and related processes covering employee conduct, sanctions and money laundering;
  • Support the review and ongoing development of the Firm’s manuals, policies and training programme that support the strong compliance culture, including delivery of trainings; and
  • Support the completion and filing of ongoing regulatory disclosures, reports and statements across jurisdictions.

EXPERIENCE REQUIRED:

  • Minimum of 5-7 years of direct advisory or regulatory compliance experience within a hedge fund, investment bank or asset manager with strong understanding of the nuances of key regulations applicable in the UK, EU and US.
  • Degree level and professional qualifications such CISI Compliance Diploma, and experience with compliance technology/workflows are an advantage. Expected to have deep and complex knowledge of the rules and practical application;
  • Excellent knowledge and understanding of EMEA and US Equities markets and structure, trading channels and flows, offerings and compliance related considerations and dynamics;
  • Excellent analytical skills, attention to detail and ability to work independently and in a multi‑disciplinary team to deliver strong and measurable outcomes; and
  • Deep interest in compliance/financial markets and driven to solve complex problems and identify upcoming challenges.

For further information please contact Spencer Evans

#J-18808-Ljbffr”, “datePosted”: “2026-05-10”, “hiringOrganization”: { “@type”: “Organization”, “name”: “Compliance Professionals”, “sameAs”: “https://uk.whatjobs.com/pub_api__cpl__428771765__4861?utm_campaign=publisher&utm_medium=api&utm_source=4861&geoID=33” }, “jobLocation”: { “@type”: “Place”, “address”: { “@type”: “PostalAddress”, “addressLocality”: “London” } } }
Company: Compliance Professionals
Apply for the Compliance Officer
Location: London
Job Description:

THE COMPANY:

We are delighted to be working with a long/short equities hedge fund, who are looking for a 2nd in command for their Compliance team.

THE RESPONSIBILITIES:

  • Support the ongoing development of the Firm’s Compliance programme (including market abuse, employee conduct, expert network and ecomms surveillance), focussing on automating controls, updating workflows and systematisation;
  • Provide real‑time guidance and advice to the Firm’s investment and non‑investment team on key European and US rules, regulations and internal policies;
  • Provide support with the interpretation and implementation of new rules/regulation – assessing regulatory risks, regulatory changes and potential impact to the Firm’s business;
  • Support the review of the Firm’s market abuse surveillances, technology and algorithms and related processes covering employee conduct, sanctions and money laundering;
  • Support the review and ongoing development of the Firm’s manuals, policies and training programme that support the strong compliance culture, including delivery of trainings; and
  • Support the completion and filing of ongoing regulatory disclosures, reports and statements across jurisdictions.

EXPERIENCE REQUIRED:

  • Minimum of 5-7 years of direct advisory or regulatory compliance experience within a hedge fund, investment bank or asset manager with strong understanding of the nuances of key regulations applicable in the UK, EU and US.
  • Degree level and professional qualifications such CISI Compliance Diploma, and experience with compliance technology/workflows are an advantage. Expected to have deep and complex knowledge of the rules and practical application;
  • Excellent knowledge and understanding of EMEA and US Equities markets and structure, trading channels and flows, offerings and compliance related considerations and dynamics;
  • Excellent analytical skills, attention to detail and ability to work independently and in a multi‑disciplinary team to deliver strong and measurable outcomes; and
  • Deep interest in compliance/financial markets and driven to solve complex problems and identify upcoming challenges.

For further information please contact Spencer Evans

#J-18808-Ljbffr…

Posted: May 10th, 2026