×
Register Here to Apply for Jobs or Post Jobs. X

Senior AssociateAssociate Director, Trading Practices Compliance

Job in Charlotte, Mecklenburg County, North Carolina, 28245, USA
Listing for: Barings LLC
Apprenticeship/Internship position
Listed on 2026-08-29
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Regulatory Compliance Specialist
Salary/Wage Range or Industry Benchmark: 120000 - 160000 USD Yearly USD 120000.00 160000.00 YEAR
Job Description & How to Apply Below
At Barings, we are as invested in our associates as we are in our clients. We recognize those who work diligently for us and reward them for personal and professional integrity, communication skills, distinct competencies and expertise in specific strategies, ability to collaborate as a team member and true dedication to the interests of our clients.

We thank you for your interest in joining the Barings team, and invite you to explore our current employment opportunities.

Title:

Senior Associate ssociate Director, Trading Practices Compliance Business Unit:
Compliance

Location:

Charlotte, NCBarings is a leading global financial services firm dedicated to meeting the evolving investment and capital needs of our clients and customers. Through active asset management and direct origination, we provide innovative solutions and access to differentiated opportunities across public and private capital markets. A subsidiary of Mass Mutual, Barings maintains a strong global presence with business and investment professionals located across North America, Europe, and Asia Pacific.

Job Summary Responsible for the day-to-day surveillance and oversight activities for the Firm’s various trading functions. Position is responsible for the assessment of the Firm’s trading risk and identifying breaches to prescribed policies. Requires the use of policies, procedures, and manual and automated systems to mitigate these risks and comply with regulatory restrictions. This position reports to the Head of Trading Practices Compliance and is a visible position within the organization often interacting with members of the firm’s Portfolio Management, Trading, Legal, Risk, and Operations teams.

Position is vital to the success of the organization’s trading practices compliance function. Given the volume and types of investment activity occurring, it is important that there be adequate trade compliance coverage. This position will have a direct impact on the firm’s ability to conduct business in accordance with applicable law, thereby protecting the firm from adverse regulatory exposure and minimizing litigation risk, as well as damage to the firm’s industry reputation.

Primary Responsibilities Responsible for primarily assisting with surveillance and compliance monitoring related to best execution, cross trades, fair allocation, order management, market abuse, insider trading, and trade error review and remediation

Conduct ongoing surveillance and monitoring activities to identify potential misuse of Material Non-Public Information (MNPI) across trading, research, and other business activities.

Review and evaluate wall-crossing requests and related documentation to ensure proper controls, approvals, and regulatory requirements are satisfied.

Proactively identify patterns or trends through surveillance reviews and escalate findings as appropriate.

Draft, maintain, and enhance policies and procedures related to trading practices and regulatory obligations.

Lead or contribute to key departmental and firm-wide projects, ensuring alignment with compliance objectives.

Participate in developing reporting and periodic presentation to governance forums as needed.

Develop and deliver targeted training on trading-related rules, regulations, and internal policies to relevant stakeholders.

Resolve or escalate trading-related compliance issues and provide practical guidance to business units.

Collaborate with IT, front office, and other stakeholders to design and implement solutions that address new and evolving regulatory requirements.

Stay current on regulatory developments and enforcement actions affecting trading practices and advise management on significant issues and emerging risks.

Qualifications Minimum 4 years of investment adviser or financial service experience with emphasis on trade compliance. Experience across a range of asset classes primarily including private lending, private investment funds, bank loans, derivatives, real estate investments, and corporate securities are required.

Experience with Firewalls, Insider Trading, Market Conduct, and other conflicts of interest polices strongly preferred.

Knowledge of the provisions…
Position Requirements
10+ Years work experience
To View & Apply for jobs on this site that accept applications from your location or country, tap the button below to make a Search.
(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).
 
 
 
Search for further Jobs Here:
(Try combinations for better Results! Or enter less keywords for broader Results)
Location
Increase/decrease your Search Radius (miles)
0
200
Filters
Education Level
Experience Level (years)
Posted in last:
Salary