My client is looking for a Compliance Officer. This role supports our market-making activities across multiple asset classes, with a focus on surveillance, advisory, and control room functions. The ideal candidate will have around 5 years’ compliance experience and strong product knowledge across equities, fixed income, and FX. This is an opportunity to work in a fast-paced, technology-driven environment. Responsibilities: Provide real-time advisory support to trading desks and support functions on regulatory matters. Overseeing daily trading activities and conduct trade and communications surveillance, reviewing alerts and escalating potential issues. Manage control room activities, including restricted lists and information barriers. Interpret regulatory developments and assist with policy updates. Support regulatory requests, audits, and compliance monitoring reviews. Contribute to compliance training and awareness initiatives across the business. Requirements Around 5 years’ experience in compliance within trading firms or investment banks, background in quantitative trading will be ideal. In-depth knowledge across equities, fixed income, and FX trading regulations.