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O

Compliance Officer at Leading Hedge Fund

OCR Alpha City of London


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    O

    Compliance Officer at Leading Hedge Fund

    OCR Alpha City of London
    Status Open
    Apply now

    Apply on the employer's website


    What we ask

    Education

    No minimum education required

    Job description

    OCR Alpha is working with a leading global multi-strategy investment firm to identify a Compliance Officer to join its growing London team.


    This is a broad, hands-on compliance role within a lean and highly collaborative function, offering the opportunity to work closely with investment professionals across a range of strategies and asset classes. The successful candidate will have meaningful exposure to both day-to-day advisory work and wider compliance projects, with scope to take ownership as the platform continues to grow.


    This role will be 4 days/week in the office, with the option to work one day from home.


    The role will include:

    • Providing day-to-day compliance advice to trading and investment teams across a range of regulatory and market conduct matters
    • Advising on MNPI, wall crossings, information barriers, restricted lists and conflicts of interest
    • Supporting trade and communications surveillance and investigating potential market abuse or conduct issues
    • Managing regulatory reporting and disclosures across UK and international jurisdictions
    • Supporting compliance monitoring, policy development and regulatory change
    • Working on broader compliance projects, including process improvements, systems enhancements and new business initiatives
    • Liaising with Legal, Operations, Technology and other stakeholders to develop and enhance the firm's compliance framework
    • Supporting regulatory enquiries, audits and ongoing engagement with regulators and exchanges


    The ideal candidate will have:

    • Approximately 5–8 years' compliance experience, ideally gained within an investment bank, hedge fund or other trading-focused environment
    • Strong experience across compliance advisory / Control Room, with a good understanding of MNPI, market abuse and information-barrier frameworks
    • Exposure to trading businesses, ideally within a multi-strategy, market-making or proprietary trading environment
    • A broad understanding of UK/EU regulatory requirements, with international experience a plus
    • The ability to operate autonomously and take ownership in a lean, entrepreneurial environment
    • Strong communication skills and the confidence to work directly with traders and senior stakeholders
    • A proactive, practical approach and a willingness to get involved across different areas of compliance


    This is an excellent opportunity for a compliance professional looking to move into a high-performing investment environment, with genuine breadth of responsibility and the opportunity to work closely with the business as the platform continues to develop.

    About the employer

    OCR Alpha
    Apply now

    Apply on the employer's website

    Apply now

    Apply on the employer's website


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