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Hybrid (2 Days Home / 3 Days Office)

About the Opportunity

A self-clearing broker-dealer at the heart of U.S. equity markets has partnered with Axe Recruiting to identify a high-impact Trade Compliance Officer. As market complexity accelerates, this mission-critical role will ensure every trade adheres to SEC and FINRA regulations, transforming compliance from a back-office function into a strategic advantage.

Key Responsibilities
  • Real-Time Surveillance: Monitor and assess public equity trading activity for compliance with FINRA, SEC, and state regulations—focusing exclusively on equities (no fixed income, e-comms, ETF, or employee-trading surveillance).

  • Trader Partnership: Work side-by-side with high-frequency and day-trading teams to embed regulatory controls into daily workflows.

  • Policy & Procedure Management: Draft, implement, and maintain robust trading compliance policies and procedures.

  • Internal Audits & Risk Assessments: Conduct regular compliance reviews, internal audits, and thematic risk assessments.

  • Regulator Liaison: Respond to SEC and FINRA exam inquiries, coordinate documentation, and manage disclosure processes.

  • Training & Change Leadership: Lead trainings on compliance updates; drive internal change initiatives to stay ahead of evolving regulatory frameworks.

  • Surveillance Platform Expertise: Utilize Trillium (preferred) or equivalent (e.g., NASDAQ Smarts, NICE Actimize) to detect complex trading strategies such as spoofing and layering.

Requirements
Core Qualifications
  • Bachelor’s degree in Finance, Law, Business, or related field

  • Active Series 7 license; Series 24 preferred (or commitment to obtain upon hire)

  • Minimum of 1 year hands-on compliance experience in public equities at a broker-dealer

  • Deep knowledge of FINRA and SEC rules governing U.S. equity markets

  • Proven track record executing trade surveillance in high-velocity trading environments

Specialty Criteria
  • Equities-Only Surveillance: Experience strictly in public-equity trade surveillance; exclude candidates whose sole background is fixed income, electronic-communications, ETF/portfolio, or employee-trading surveillance.

  • Trader-to-Compliance Path: Candidates with an equities-trading background (active Series 7/24) who have transitioned or are open to transitioning into compliance tooling will be considered in the junior band.

Compensation & Logistics
  • Salary Bands:

    • $80,000 – $120,000 for candidates requiring on-the-job training (e.g., former equities traders)

  • Relocation & Sign-On Bonus: Available to attract top talent from outside NYC (notably Chicago)

  • Benefits: Medical, Dental & Vision insurance; 401(k) with company match; Generous PTO; hybrid flexibility

Why This Role Matters

This is more than a compliance seat—it’s a leadership post where every second and every trade matters. You will elevate compliance to a competitive advantage, shaping the firm’s program and safeguarding its reputation in the fastest-moving equity markets.

Apply Today

Axe Recruiting is managing this confidential search. To express interest or apply:
📧 [email protected]
🌐 www.axerecruiting.com

Regulatory Framework Resource

For an overview of the regulatory framework, visit: https://www.sec.gov/divisions/tradingmarkets.shtml

To apply for this job email your details to zuhayr@axerecruiting.com