Skip Navigation

Director, Compliance Control Room

  • Midtown Manhattan
  • Full Time

Apply for the Director, Compliance Control Room position

"*" indicates required fields

Max. file size: 10 MB.
Drop files, or upload here
Madison-Davis is committed to protecting and respecting your privacy, and we will only use your personal information to contact you regarding the services you requested from us. Your contact information will not be shared or sold to third parties for marketing purposes. We would like to contact you about our products and services, as well as other content that may be of interest to you; messaging frequency will vary based on hiring needs and opportunities. If you consent to us contacting you for this purpose, please check the box below.
I agree to receive communications from Madison-Davis
You may unsubscribe from these communications at any time by replying STOP. You may also text HELP for more information. Mobile messaging and data rates may apply.
This field is for validation purposes and should be left unchanged.

International investment bank located in Midtown Manhattan looking to bring on board a “Director, Compliance Control Room” to join their team. This role is currently in a hybrid capacity (2-3 days per week).

Responsibilities:
• Serve as the Compliance Subject Matter Expert on Information Barriers
• Develop and maintain relationships with key stakeholders, including businesses and other risk functions, to ensure implementation of an effective compliance program.
• Assist on the maintenance of the Firm’s Global Watch and Restricted Lists, including seeking and responding to updates from investment banking teams
• Serve as subject matter expert to advise research, sales and trading on various restrictions
• Assist the business with research vetting’s from Investment Banking, the related wall crossings and chaperoning meetings between Investment Banking and Equity Research.
• Advisor to business groups, Legal and Compliance colleagues on Information Barriers, wall crossing procedures, sensitive information and need to know policies
• Review and approve equity research as needed
• Respond to Internal Audit and regulatory inquiries
• Execute projects as assigned by supervisor and/or Compliance senior management.
• Participate in the drafting of compliance related policies and procedures.
• Make recommendations to develop or enhance business unit procedures as they relate to compliance subject matters; and respond to compliance related questions from management and staff.