OCR Alpha is partnering with a high-performing hedge fund looking to hire an experienced Compliance Officer into a broad, front-office facing role with significant ownership and long-term progression.
Working closely with senior investment professionals, you'll provide day-to-day regulatory advice across a sophisticated equities and systematic trading platform, while taking ownership of the UK compliance framework and supporting the firm's wider global trading compliance function.
Key responsibilities:
• Act as a trusted adviser to portfolio managers and traders on market abuse, insider trading, short selling, market conduct and broader trading regulations
• Own and enhance the UK compliance framework, ensuring continued adherence to FCA requirements
• Lead regulatory reporting across transaction reporting and disclosure regimes, including short selling
• Oversee trade surveillance and help develop pre- and post-trade controls to support a growing trading platform
• Support new products, strategies and business initiatives from a regulatory perspective
• Drive regulatory change, policy development and compliance framework enhancements
We're looking for:
• 6+ years' compliance experience within a buy-side investment firm (hedge fund experience preferred)
• Strong knowledge of UK trading regulations, particularly across equities, market abuse and short selling
• Experience providing front-office regulatory advisory
• Someone who enjoys operating in a collaborative, fast-paced environment with the opportunity to influence the business
This is an excellent opportunity to join a growing investment platform in a highly visible role, with genuine scope to shape the compliance function and progress into a senior leadership position.