SonicJobs Logo
Left arrow iconBack to search

Senior Compliance Officer

BizTek People, Inc. | APA International Placement Consultants
Posted a month ago, valid for 23 days
Location

New York, NY 10008, US

Salary

$88 per hour

Contract type

Contract

By applying, a Sonicjobs account will be created for you. Sonicjobs's Privacy Policy and Terms & Conditions will apply.

SonicJobs' Terms & Conditions and Privacy Policy also apply.

Sonic Summary

info
  • BizTek People is hiring a Senior Compliance Officer for a global financial institution in Midtown, NYC, with a pay rate of up to $88/hour depending on experience and a contract duration through October 5, 2026.
  • The role requires 10+ years of Compliance experience within an investment bank, broker-dealer, or financial services organization, including 2+ years specifically in Equity Research Compliance and Control Room functions.
  • Key responsibilities include serving as a Compliance Subject Matter Expert, advising stakeholders on Information Barriers, and maintaining the firm's Global Watch List and Restricted List.
  • Candidates should possess a Bachelor's degree (Master's preferred), strong knowledge of SEC and FINRA regulations, and the ability to manage multiple priorities in a fast-paced environment.
  • A hybrid work schedule is preferred, but fully remote options may be considered for the right candidate.


Senior Compliance Officer | Equity Research Compliance

BizTek People is seeking a Senior Compliance Officer for our client, a global financial institution in New York City.


Location: Midtown, NYC

Schedule: Hybrid preferred (2 days onsite / 3 days remote). Fully remote may be considered for the right candidate.

Duration: Contract through October 5, 2026

Start Date: ASAP

Pay Rate: up to $88/hour depending on experience + benefits


We are seeking an experienced Senior Compliance Officer with deep expertise in Control Room Compliance, Equity Research Compliance, Information Barriers, and Investment Banking Compliance. This role will serve as the Compliance Subject Matter Expert (SME) supporting Equity Research, Information Barrier governance, regulatory compliance, and Control Room activities within a global financial institution.

Key Responsibilities

  • Serve as the Compliance Subject Matter Expert (SME) on Information Barriers and Control Room Compliance.
  • Advise Equity Research, Investment Banking, Legal, and business stakeholders on Information Barriers, wall-crossing procedures, sensitive information, and need-to-know policies.
  • Provide compliance guidance regarding the use of experts and expert networks.
  • Support research vetting requests from Investment Banking, including wall crossings and chaperoning meetings between Investment Banking and Equity Research.
  • Review and approve equity research publications.
  • Maintain the firm's Global Watch List and Restricted List, coordinating updates with Investment Banking teams.
  • Respond to Internal Audit, regulatory inquiries, and compliance examinations.
  • Draft and enhance compliance policies, procedures, and business controls.
  • Deliver onboarding, annual, and ad hoc compliance training to Equity Research personnel.
  • Execute compliance initiatives, regulatory projects, and special assignments.
  • Stay current on SEC, FINRA, and other regulatory developments impacting Equity Research and Control Room Compliance.

Qualifications

  • Bachelor's degree required (Master's degree preferred)
  • FINRA licenses strongly preferred.
  • 10+ years of Compliance experience within an investment bank, broker-dealer, or financial services organization.
  • 2+ years of experience supporting Equity Research Compliance and Control Room functions.
  • Strong knowledge of Information Barriers, MNPI, wall-crossing procedures, and Watch/Restricted List management.
  • Thorough understanding of SEC and FINRA regulations, including:
  • Section 15(g) of the Securities Exchange Act of 1934 (MNPI)
  • FINRA Rules 2241 and 2242
  • Regulation M
  • Safe Harbor provisions
  • Global Research Settlement requirements
  • Experience responding to Internal Audit and regulatory examinations.
  • Strong analytical, communication, and stakeholder management skills.
  • Ability to manage multiple priorities in a fast-paced environment while exercising sound judgment.


#ComplianceJobs #SeniorComplianceOfficer #ControlRoom #EquityResearch #EquityResearchCompliance #InvestmentBanking #InformationBarriers #MNPI #WatchList #RestrictedList #FINRA #SEC #RegulationM #FinancialServices #RiskManagement #HybridJobs #NYCJobs






Learn more about this Employer on their Career Site

Apply now in a few quick clicks

By applying, a Sonicjobs account will be created for you. Sonicjobs's Privacy Policy and Terms & Conditions will apply.

SonicJobs' Terms & Conditions and Privacy Policy also apply.