I am looking for a compliance officer to supports market-making activities across multiple asset classes, with a focus on surveillance, advisory, and control room functions. Ideal candidates will have at least 5 years’ experience in electronic trading compliance and strong knowledge of UK/EU trading venue rules and regulations. Responsibilities Provide real-time compliance and regulatory advice to trading desks and support functions Oversee daily trading activities and conduct trade and communications surveillance, escalating potential issues as required Interpret and implement regulatory developments, assisting with policy updates and compliance monitoring reviews Support regulatory requests, audits, and the preparation of filings to regulators (e.g., AFM, FCA, AMF) Handle transaction/position reporting (MiFIR, EMIR, CPR) and assist with KYC requests Contribute to compliance training and awareness initiatives across the business Requirements strong experience in financial markets compliance, ideally within trading firms or investment banks Knowledge of UK/EU trading venue rules Strong understanding of UK/EU financial regulations, including MiFID, MAR, MiFIR, EMIR, CPR, etc. Familiarity with the FCA SMCR