Trade Surveillance Manager

Posted 21 Days Ago
Be an Early Applicant
London, Greater London, England, GBR
In-Office
Mid level
Fintech • Payments • Financial Services
The Role
The Trade Surveillance Manager oversees compliance with regulatory guidelines, enhancing trade surveillance procedures, monitoring trading activities, and leading a team to prevent market abuse in a brokerage environment.
Summary Generated by Built In

The Trade Surveillance Manager will lead and enhance the firm’s trade surveillance framework within a UK-regulated brokerage environment. This role is particularly critical as the firm expands into new products and trading strategies, ensuring surveillance controls evolve in line with emerging risks.

The successful candidate will oversee a team of four analysts and ensure compliance with regulatory expectations set by the Financial Conduct Authority (FCA) under the UK Market Abuse Regulation (UK MAR), MiFID II, and related regulatory frameworks. The role requires strong product knowledge, risk assessment capability, and experience implementing surveillance controls for new asset classes and trading activities.

Please note that this is an onsite role that will require you to work within our London office (near Liverpool street) 5 days on site per week.

ROLE AND RESPONSIBILITIES

  • Develop policies and procedures to prevent market abuse and insider trading.
  • Monitor trading activities for suspicious behaviour and potential violations of regulations.
  • Conduct investigations into potential instances of market abuse or insider trading.
  • Collaborate with other departments, including legal and compliance, to ensure adherence to regulatory requirements.
  • Heading up a team of 4 market surveillance specialists
  • Stay abreast of changes in regulations and industry best practices related to market abuse and insider trading.
  • Monitoring and closing of market surveillance alerts and electronic communications to identify suspicious behaviour that could be indicative of market abuse, insider trading, financial crime or inappropriate market conduct.
  • Calibration and tailoring of monitoring systems to ensure that alerts are generated optimally and reduce false positives across trade surveillance and electronic communications systems.
  • Producing and checking reliable MI on surveillance activity for the Board and governance committees on the market abuse governance and the control framework.
  • Provide training and guidance to employees on compliance-related matters.
  • Maintain personal/professional development to meet the changing demands of the role, including all relevant regulatory and legislative training.
  • When dealing with all customers, clients or colleagues ensure that we provide a clear, fair and consistent high quality service that presents a professional and positive image of CMC Markets
  • Take all reasonable steps to ensure appropriate confidentiality.
  • Undertake such other duties, training and/or hours of work as may be reasonably required and which are consistent with the general level of responsibility of this role.

KEY SKILLS AND EXPERIENCE

  • Relevant experience in financial services firm (brokerage is preferable).
  • In-depth knowledge of regulations related to trade surveillance and insider trading (e.g., MAR, STORs).
  • Strong analytical skills and attention to detail.
  • Excellent communication and interpersonal skills.
  • Ability to work independently and effectively prioritize tasks in a fast-paced environment.
  • Experience working with regulators and conducting internal investigations is preferred.

CMC Markets is an equal opportunities employer and positively encourages applications from suitably qualified and eligible candidates regardless of gender, sexual orientation, marital or civil partner status, gender reassignment, race, colour, nationality, ethnic or national origin, religion or belief, disability or age

Top Skills

Financial Services Compliance
Market Surveillance Systems
Mifid Ii
Uk Market Abuse Regulation
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The Company
1,366 Employees
Year Founded: 1989

What We Do

CMC Markets is a leading global provider of online trading and investing, with a comprehensive retail, professional and institutional offering. Established in 1989, headquartered in London and listed on the London Stock Exchange, we have offices in Australia, China, Singapore, and across Europe. Over 1m traders and investors* worldwide have access to our proprietary platforms, native mobile trading apps, and MetaTrader 4. Our clients can trade on a huge range of financial instruments through our award-winning spread betting, CFD and share trading platforms**. We provide transparent, competitive pricing, market insights, and dedicated, 24/5 customer service. *1.388 million unique user logins for the CMC Markets invest and CFD platforms globally, as at August 2023. **Awards include: No.1 Web Platform & No.1 Most Currency Pairs, ForexBrokers.com Awards 2023; Best Forex Broker, Good Money Guide Awards 2023; Best In-House Analysts, Professional Trader Awards 2023; CFD Provider of the Year, Investors' Chronicle/Financial Times Celebration of Investment Awards 2023; No.1 Platform Technology, ForexBrokers.com Awards 2022; Best Mobile Trading Platform, ADVFN International Financial Awards 2022. Disclaimer: Spread bets and CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 68% of retail investor accounts lose money when spread betting and/or trading CFDs with this provider. You should consider whether you understand how spread bets, CFDs, OTC options or any of our other products work and whether you can afford to take the high risk of losing your money. Professional clients: Countdowns carry risk to any capital invested. These products are not suitable for all investors. CMC does not endorse, control or take responsibility for any third party content on or linked to this account. Nothing in this material is (or should be considered to be) financial, investment or other advice on which reliance should be placed

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