• Senior Audit Manager, Compliance Audit…

    Scotiabank (New York, NY)
    … Audit Manager who is seasoned Compliance Auditor with significant experience in Trade Surveillance audits, focused on market abuse detection and prevention. ... Senior Audit Manager, Compliance Audit (Non- AML )...will leverage their expertise to lead compliance audits for trade surveillance to identify potential market abuse… more
    Scotiabank (10/31/24)
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  • Vice President, FX & Fixed Income Trade

    SMBC (Jersey City, NJ)
    … oversees key processes and risks of the KYC Department. The CPAD Market Surveillance team performs centralized trade surveillance for the America's SMBC ... development initiatives. **Role Objectives** + Report to the Fixed Income Trade Surveillance Manager for day-to-day surveillance assignments; +… more
    SMBC (11/07/24)
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  • Anti-Financial Crimes Sr Compliance Spec

    MetLife (New York, NY)
    …of global compliance programs for MetLife businesses relating to Anti-Money Laundering ( AML ), Economic & Trade Sanctions and Anti-Bribery & Corruption (AB&C) ... efforts. Key Responsibilities: * Drive success within the Anti-Money Laundering ( AML ), Sanctions Compliance (SC) and Anti-Bribery & Corruption (AB&C) compliance… more
    MetLife (09/22/24)
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  • Senior Manager, Markets Compliance Officer

    Scotiabank (New York, NY)
    Senior Manager, Markets Compliance Officer **Requisition ID:** 204138 **Salary Range:** 110,700.00 - 211,800.00 _Please note that the Salary Range shown is a ... an important bridge to this key global market for trade and investment flows across the Americas and the...compliance. + Participate in the review of monitoring and surveillance routines and respond to alerts or issues from… more
    Scotiabank (10/22/24)
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  • Central Review Unit Supervisory Principal

    Citigroup (Irving, TX)
    …consult and advise Senior Management including, but not limited to, Compliance, AML , Sales Management. + Assist on ad-hoc projects as assigned by Management. + ... (including NY State Regulation 60 and FINRA Rule 2330), and provide pre- trade supervisory/principal approval of these transactions. In addition, the role holder will… more
    Citigroup (10/12/24)
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