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xThis sector contains all our legal & compliance jobs for finance professionals. Compliance roles are there to ensure banks, asset managers, hedge funds, insurance companies, and other forms of financial services firms are working in line with the regulations imposed by the country they're operating in. Compliance professionals liaise with front office employees on the business side of the organisation to make sure these regulatory requirements are met and to educate salespeople, traders, M&A bankers, and other financial services employees on the expectations of national and supranational regulatory bodies.
These regulatory jobs in financial services and investment banks can be divided into various categories, including:
Sales and trading compliance - working with a bank's salespeople and traders to ensure their activities comply with the requirements of the local regulator. Sales and trading compliance pros are often product specialists - for example, they might specialise in bonds, equities or derivatives.
Control room compliance - centralised tasks such as maintaining the bank's restricted list (which restricts confidential information to key individuals), ensuring Chinese Walls are upheld and checking for abnormal or alarming dealing activity. Should certain staff be placed on 'stop and watch' lists, it's the control room compliance team who ensure they're stopped - and watched.
Monitoring and surveillance - scrutinising specific behaviour and trading transactions that might indicate fraudulent activity, such as insider dealing or manipulation of markets across the exchanges.
Anti-money laundering (AML) - stopping money laundering (where the financial proceeds of illegal activities are given the appearance of being legitimate).
Asset managers and hedge funds also recruit compliance staff, as do retail banks and insurance companies. In the wake of the global financial crisis, regulation of financial services firms has increased and compliance has become increasingly important. As well as containing jobs for compliance officers, compliance managers and senior compliance professionals from compliance recruitment agencies in the areas referred to above, this section also includes jobs at financial services regulatory bodies such as the FSA (in the UK) and the SEC (in the US). Regulatory jobs frequently revolve around the enforcement of such regulations.
Alongside compliance staff, banks and financial services firms employ an army of lawyers or attorneys and paralegals to ensure the documentation and contracts associated with their business fall within the law. This section also includes these legal jobs within financial services.
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| Compliance Officer-Mortgage Servicing Vendor Management | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Team Lead - Regulatory Inquiries Group | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| MSWM Compliance Registration Analyst | Morgan Stanley Competitive | USA-MD-Baltimore | 18 Jun 13 |
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| Paralegal - ISG Policies and Procedures/Regulatory Counsel Group | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Regulatory Inquiries Group | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Compliance Officer | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| AML Monitoring, Inquiries and Investigations Analyst | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Bank Compliance Officer | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Investment Advisory Services Surveillance Analyst | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| MSWM Compliance Registration Analyst | Morgan Stanley Competitive | USA-MD-Baltimore | 18 Jun 13 |
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| Vice President-Field Compliance Team Supervisor | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| MSWM Compliance Branch Examiner | Morgan Stanley Competitive | USA-IL-Chicago | 18 Jun 13 |
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| Executive Compensation Lawyer | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Senior Mortgage Compliance Officer / Private Bank | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Sr. Financial Analyst | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Institutional Equity Division (IED) Compliance Officer | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| ERISA attorney to support weath managment division | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Global AML Policies, Procedures and Training Head | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Global AML Program Manager | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Global AML Monitoring and Testing Coordinator | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| AML Quantitative Analyst | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Global AML and OFAC/Sanctions Risk Assessment Coordinator | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| AML Enhanced Due Diligence Analyst | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Compliance Coverage Officer - FID FX and Emerging Markets | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Lead Compliance Coverage Officer for US Finance | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Infrastructure Transactional/Private Funds Attorney | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Senior Consumer Compliance Specialist | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| VP - AML Officer | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Regulatory Exams Professional | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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| Institutional Capital Markets Coverage Attorney | Morgan Stanley Competitive | USA-NY-New York City | 18 Jun 13 |
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