The Markets Compliance team is responsible for setting policies, providing training and real-time interpretation of financial regulations to the EMEA Markets businesses, which are across Europe. The team forms part of the EMEA Compliance Department which covers JPMorgan’s Corporate and Investment Banking, Security Services, Asset Management and Private Banking businesses in the region.
As a Markets Compliance Advisory - Vice President within Market Compliance Team you will provide primary line of Business advisory and regulatory support, with a focus on:
• Equity Derivatives
• Benchmark Administration
• Retail Structured Products
• Listed Derivatives
• Asset Management
These are leading global businesses that provide a wide range of services to corporate, institutional and government clients in EMEA. You will require close liaison with other members of the Markets Compliance team, as well as the wider CCOR department (e.g. Control Room, Surveillance, Testing) as and when necessary.
Job Responsibilities
Assess the impact of new financial regulations and setting appropriate internal Compliance policies and procedures and keeping them up to date.Prepare Compliance training materials and conducting programmed and ad hoc training where necessary.Provide real-time interpretation of internal Compliance policies and procedures in response to ad hoc enquiries from front and middle office.Provide specific input to new product and business initiatives, new regulations, policies, training, monitoring and surveillance escalations.Investigate and resolve escalation alerts from Compliance Surveillance and self-escalations from front and middle office.Design and perform risk-based Compliance monitoring tests.Assist in performing and keeping up to date the 2LOD risk assessments.Represent compliance in regional and global Compliance working groups.Work with the wider CCOR (Compliance, Conduct and Operational Risk) department.Assist in ad hoc administrative tasks of the team.Required qualifications, capabilities, and skills
Relevant Markets compliance experiencePrevious experience with equity derivative structures, products and the relevant UK, EU and US regulations, particularly, MiFID2, Market Abuse Regulation, EMIR and Dodd-Frank or familiarity with the equivalent regulations in local jurisdiction, on subjects such as management of conflicts of interest, prohibition of insider dealing and market manipulation, mandatory trading and clearing of derivatives and fair treatment of clients.Good understanding of at least some of the coverage areas listed above.Ability to manage relationships with the businesses at all levels, including senior management.Team player, expected to provide cross coverage of the other areas covered by Markets Compliance. Ability to work independently, and having sufficient experience to know when to escalate an issue is essential.Being proactive, able to think critically about the information presented to senior management, comfortable with subjective situations, and ready to ask appropriate questions and effectively challenge where needed. Being able to think “on their feet”, provide ‘live’ regulatory interpretation and decisions to the business, often in high profile and/or time constrained situations.