The Markets Supervisory Officer will be responsible for:
Overseeing Investment Activities: Candidate will be responsible for providing oversight of various activities performed by the trade desks. Candidate must adept at working in a fast paced and dynamic environment. Strong people skills, excellent oral and written communication skills and ability to influence others is key. Strong product knowledge of Equity, Fixed Income, FX and structured products is required. Knowledge of Rates & other Derivatives a plus.
Supervisory Oversight: Reviewing escalated surveillance issues, performing transaction surveillance, providing compliance/supervisory guidance to sales & trading teams, and maintaining and enhancing the control and supervisory culture.
Regulatory Compliance: Monitoring regulatory developments, managing communications review and approval, and ensuring adherence to policies and standards.
Key Activities:
Review and approval of brokerage and capital markets activities, including business affiliations, personal trading and outside business activities.
Managing, reviewing, and approving syndicate offerings including equity, fixed income and structured products.
Assist with oversight of trading systems, rules engines and platforms used by Wealth Markets traders
Direct engagement with trade error remediation, reporting, escalation, tracking & metrics
Participating in and leading calls on Capital Markets topics.
Monitoring continuing education and licensing requirements.
Maintaining files associated with the OSJ (Office of Supervisory Jurisdiction).
Assisting with various delegated tasks, projects, audits, compliance testing, and regulatory inquiries.
Interfacing with Legal, Compliance, and Control partners.
Assist with resolution of client complaints.
Understanding various trading platforms and systems.
Assisting with developing and contributing to system control enhancements across the business, systems, and platforms.
Qualifications and Experience
Significant experience in Capital Markets and the financial industry.
Cross-disciplinary knowledge of compliance, operations, trading
Required Licenses: Series 7, 9/10, 31, 63 & 65 (or 66). Candidates willing to obtain missing licenses within 120 days are also encouraged to apply. Series 24, 4 in lieu of 9/10.
Strong teamwork orientation.
Excellent written and verbal communication skills.
Project management skills.
Ability to work under pressure, meet deadlines, and multitask in a fast-paced environment.
Proactive and resourceful attitude.
Skills and Competencies
Excellent relationship-building, facilitation, and presentation skills.
Ability to identify issues and trends, evaluate alternatives, and recommend solutions.
Strong organizational and time management skills.
Ability to interact effectively with Senior Management.