Key Responsibilities: Provide expert guidance on regulatory requirements related to energy trading, including REMIT, EMIR, MiFID II, and other relevant frameworks. Conduct thorough compliance assessments and reviews to ensure adherence to internal policies and external regulations. Collaborate closely with trading desks, risk management, and legal teams to identify and mitigate compliance risks. Stay abreast of industry developments and regulatory changes, translating them into actionable insights for the business. Develop and deliver compliance training programs to enhance awareness and promote a culture of compliance across the organization. Required Skills and Qualifications: Proven experience in compliance advisory roles within the energy trading sector, preferably within commodities trading. Strong understanding of energy market regulations, including REMIT, EMIR, and MiFID II. Excellent analytical skills and attention to detail, with the ability to interpret complex regulatory requirements. Effective communication and stakeholder management skills, with the ability to influence and educate across various levels of the organization. Proactive mindset with a commitment to continuous improvement and staying ahead of regulatory developments. Relevant certifications (e.g., CISI Diploma in Investment Compliance) would be advantageous. For details please get in touch chris.rootsinvestigo.co.uk