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Compliance Officer, Broker-Dealer Advisor; Equities and - VN

Job in New York, New York County, New York, 10261, USA
Listing for: Marex
Full Time position
Listed on 2026-05-27
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below
Position: Compliance Officer, Broker-Dealer Advisor (Equities and Options) - VN2750
Location: New York

Purpose of Role

Marex is a seeking a Broker-Dealer Compliance Advisor (focusing on Equities and Options) who is meant to be a subject matter expert in U.S. Broker-Dealer regulation providing compliance advisory services, with a strong background on Equities and Listed Options trading activities, as well as knowledge of various regulatory reporting requirements. Such guidance is tailored to resolving issues with consideration to regulatory requirements, regulatory and firm risk, and industry best practices.

Marex has unique access across markets with significant share globally both on and off exchange. The depth of knowledge amongst its teams and divisions provides its customers with clear advantage, and its technology-led service provides access to all major exchanges, order-flow management via screen, voice and DMA, plus award-winning data, insights, and analytics.

In the ever-evolving financial landscape, Compliance has become increasingly complex. Marex must navigate a wide range of regulatory requirements to maintain licenses and protect Marex’s reputation. Compliance and Compliance Officers play a crucial role in ensuring that all activities are conducted in accordance with the law.

Compliance Officers monitor transactions, conduct regular audits, train employees on regulatory requirements, and implement policies and procedures to minimize non-compliance risks. Compliance efforts are instrumental in fostering a compliant culture within Marex and ensuring that all employees understand their responsibilities.

Furthermore, Compliance is a bridge between Marex and regulatory authorities. Compliance is responsible for responding to inquiries, providing necessary documentation, and cooperating with regulatory examinations and investigations. This collaboration is essential in maintaining a healthy and transparent relationship between Marex and regulatory bodies.

Responsibilities
  • Support the Head of U.S. Broker-Dealer Compliance.
  • Provide compliance advisory support to front office teams across day-to-day business activities.
  • Review, draft and enhance U.S. Broker-Dealer Policies and Procedures and Written Supervisory Procedures.
  • Review new business initiatives, products, and markets to ensure full compliance before launch through the BCAC management review process.
  • Collaborate to ensure Compliance Calendar deadlines are achieved.
  • Ensuring compliance with the company’s regulatory requirements under U.S. Broker-Dealer regulatory bodies (e.g. FINRA, SEC).
  • Adhere to the operational risk framework for your role ensuring that all regulatory or company determined parameters are complied with.
  • Role model for demonstrating highest level standards of integrity and conduct and reflecting Company Values.
  • At all times complying with Marex’s Code of Conduct.
  • To ensure that you are fully aware of and adhere to internal policies that relate to you, your role or any other activities for which you have any level of responsibility.
  • To report any breaches of policy to Compliance and/ or your supervisor as required.
  • To escape risk events immediately.
  • To provide input to risk management processes, as required.

The Company may require you to carry out other duties from time to time.

Competencies, Skills and Experience
  • Resilience in a challenging, fast-paced environment.
  • Ability to communicate across geography, business function, corporate level, and experience set.
  • Unimpeachable character with integrity that guides all decisions.
  • Self-starter with an ability to prioritize and manage multiple deliverables from beginning to completion.
  • A collaborative team player, approachable, self-efficient and influences a positive work environment.
  • Strategic collaborator with insight and agility, able to anticipate future challenges, ensuring operational effectiveness.
Skills and Experience
  • At least eight (8) years of financial industry experience in a legal or compliance role.
  • Bachelor’s Degree in Finance, Economics, Business, or other related field is required (JD or other graduate degree desired).
  • Experienced with equity options.
  • Experienced in U.S. Broker-Dealer Regulatory matters.
  • Previous Compliance experience within financial services.
  • Ability to work in…
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