Compliance Officer, EMEA Investment Banking Compliance
Listed on 2026-10-01
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Finance & Banking
Regulatory Compliance Specialist, Financial Compliance
JOB DESCRIPTION
Job title:
Compliance Officer, EMEA Investment Banking Compliance
Job Type: Temporary (PAYE)
Contract Duration: 3 Months
Compliance
Location:
London Company overview
Nomura is a financial services group with an integrated global network. By connecting markets East & West, we service the needs of individuals, institutions, corporates and governments through our four business divisions:
Wealth Management, Investment Management, Wholesale (Global Markets and Investment Banking) and Banking.
Driven by the insights of some 28,000 people worldwide, we put our clients at the center of everything we do, delivering unparalleled access to, from and within Asia. For further information about Nomura, visit
Department OverviewWorking as a member of the Private Side Compliance team (which includes the Control Room and Investment Banking & Research Advisory Compliance), you will have responsibility for providing Investment Banking Advisory services and support to the IB department in EMEA.
Working within the London based team of between 4-6 and a support team in India of 4-6, across Private Side this is a key business facing role which requires an individual with excellent a communication skills to proactively respond to business needs whilst identifying and implementing change and development programs for the function.
Role description:This is a comprehensive Compliance coverage role, with a predominant focus on Nomura's investment banking businesses including:
- Transaction advice, including conflicts, licensing, reputational & compliance analysis across a broard range of investment banking products and services
- Facilitation of processes and provision of advice relating to information barriers, watch lists, management of confidential information, restricted lists, wall crossings, conflicts of interest, trading, licensing and related issues
- Attendance as compliance representative at potential business committee forums
- Compliance support across applicable regulations and supporting regulatory change, such as Market Abuse Regulations (Insider Lists, Market Sounding etc.) and MiFID
- Provision of training to Business and Corporate areas on key Private Side Compliance topics
- Supporting the Private Side Compliance team initiatives, including review, creation and development of policies and procedures
- Monitoring and review of business compliance with relevant policies and procedures
- Preparing Compliance Management Information for senior management within the firm
- Engagement with Front Office Supervision and Conduct Risk programs as appropriate
- Working closely with the regional and global private side Compliance team members and also with business management on business change initiatives with Compliance impact
- Working closely with other Compliance teams, risk and control functions to facilitate a cohesive control environment
- Assisting with regulatory inquiries and interacting with regulators in relation to investigations as well as assisting in the maintenance of internal policies and procedures
- Identifying solutions and contributing to the efficiency of processes and procedures across IB Advisory and Private Side teams
- In addition the role requires:
- Keeping up to date with regulatory requirements, internal policies and procedures, best practice guidelines and reputational matters which impact Private Side Compliance
- Interpreting regulatory consultation or discussion papers, advising senior management of their content and business impact
- Participating in EU regulatory policy development through interaction with trade associations or directly with regulators
- Relevant Compliance experience at major investment bank, at an exchange or regulator would…
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