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Capital One Director Head Surveillance 
United States, New York, New York 
914941115

08.05.2025

Commodity Futures Trading Commission(CFTC) Swap Dealer and three Broker-Dealers. You will maintain the Surveillance function in order to reduce and identify risks related to market abuse through the management of controls and reviews over the trades, orders and communications of employees that carry out market activity. Additionally, you will lead a team of Surveillance analysts responsible for managing the aforementioned functions, performing quality assurance, and reporting metrics on a routine basis.


Competencies:

  • Understand relevant regulatory requirements, regulatory developments, business model, trading platforms and product changes.

  • Highly organized, detail-oriented, and energetic.

  • Strong interpersonal and influencing skills with the ability to establish credibility and strong partnerships with business partners and technology teams.

  • Ability to communicate effectively at all levels both orally and in writing.

  • Capable of operating comfortably within a complex organizational structure.

  • Exercises excellent business judgment, problem solving and decision-making skills.

  • Self-starter with the aptitude to initiate action and deliver results, adapt to change, make difficult decisions, and accept challenging assignments

  • Works effectively in both a team environment and independently.

  • Ability to manage complex projects and tasks simultaneously in a deadline-intensive environment.

  • This role will maintain all organizational and professional ethical standards and has latitude for independent judgment and decision-making.

Responsibilities:

  • Oversight of trade surveillance for Swap Dealer (interest rate, FX commodities-energy) and institutional Broker-Dealers (equity trading & fixed income (ABS)).

  • Oversee the execution of daily controls on trades, orders and communications, ensuring appropriate quality control and monitoring for Swap Dealer and the institutional broker dealers.

  • Manage and continually improve the programs, conduct periodic reviews, operating procedures and establish & monitor controls for surveillance.

  • Define business requirements for technology implementation (new capabilities, vendor services).

  • Work with technology groups to implement and test technology solutions to meet business requirements.

  • Establish data quality controls and operations.

  • Oversee and manage the onboarding and offboarding process of technology platforms.

  • Responsible for reviewing records handling first level review and escalation of unresolved issues to Desk Heads and Compliance Advisory

  • Provide subject matter expertise, advice and guidance on issues, rules and regulations applicable to Broker-Dealers and CFTC Swap Dealers (e.g., recordkeeping, business conduct rules, supervision).

  • Maintain policies, procedures and guidance designed to document operating procedures and to support compliance with applicable regulatory obligations, corporate requirements and industry best practices.

  • Assist the team in identifying and escalating issues through formal escalation channels, and facilitating timely and effective resolution.

  • Perform periodic quality assurance of subordinate review.

  • Produce and provide management with program performance metrics.

  • Independently manage internal audits and regulatory examinations; respond to regulatory inquiries.

  • Independently manage projects necessary to support initiatives both within the Compliance organization and across the firm.

Basic Qualifications:

  • Bachelor’s Degree or Military experience

  • At least 3 years of experience as a people manager

  • At least 5 years of experience in compliance, surveillance, audit, or regulatory experience in the financial services industry

Preferred Qualifications:

  • At least 5 years of experience as a people manager, ideally of a Surveillance function

  • At least 10 years or more of full-time relatable experience in surveillance role, compliance, or audit related to securities and derivatives

  • FINRA Series 7 and 24 licenses

  • Master’s Degree or Juris Doctor from an accredited university

  • Knowledge of emerging technologies (e.g., natural language processing)

  • Designing and deploying market abuse detection tools.

  • Operation of Surveillance systems, including tuning and calibration.

  • Strong technical knowledge of trade and communications surveillance, ideally covering a variety of all major asset classes (fixed income, equities, derivatives (OTC & exchange traded))

Sales Territory: $181,800 - $207,500 for Director, Risk Management McLean, VA: $200,100 - $228,400 for Director, Risk Management New York, NY: $218,300 - $249,100 for Director, Risk Management Plano, TX: $181,800 - $207,500 for Director, Risk ManagementThis role is also eligible to earn performance based incentive compensation, which may include cash bonus(es) and/or long term incentives (LTI). Incentives could be discretionary or non discretionary depending on the plan.

. Eligibility varies based on full or part-time status, exempt or non-exempt status, and management level.

If you have visited our website in search of information on employment opportunities or to apply for a position, and you require an accommodation, please contact Capital One Recruiting at 1-800-304-9102 or via email at . All information you provide will be kept confidential and will be used only to the extent required to provide needed reasonable accommodations.