The Compliance Department at Millennium serves to adopt, implement, and carry out a Compliance program, including policies and procedures, processes, systems, controls, surveillance, testing and reporting, which is designed to prevent or detect violations of applicable laws, rules and regulatory requirements and Firm policies. We are currently seeking a Compliance Officer to join our DIFC office.
Principal Responsibilities
Provide on desk Compliance coverage for trading teams
Timely and accurate investigation and disposition of market abuse and communications surveillance alerts and reports
Identification and escalation of potentially suspicious order, trade and communications activity.
Conducting ad hoc reviews and analysis of activity to identify potentially suspicious activity and/or patterns or repeated activity
Monitor and analyse the impact of compliance and regulatory developments in the UAE, including the DIFC
Assist in alert calibration testing for new and existing alert types, ensuring any proposed changes/enhancements to alerts are delivered as expected. These should be aligned with UAE rules, regulations and laws.
Assist in the maintenance of the Firm’s compliance program
Assist in the administration and review of compliance certifications, which may include sensitive information relating to conduct
Assist in improving the accuracy and efficiency of Compliance processes
Assist in maintenance of procedure manuals as and when required
Conduct KYC on client files as needed
Assist in the preparation of compliance trade reports and presentations for management
Provide support for regulatory examinations, internal investigations, regulatory inquiries, and internal and external audits and inspections
Assist in preparation and maintenance of compliance training
Schedule and maintain Compliance logs and materials
Participate in working groups and other projects as needed
Keep current on recent compliance and regulatory issues, trends, and upcoming developments, including obtaining and making appropriate use of any findings, recommendations, guidance, directives, resolutions, sanctions, notices or other conclusions issued by the UAE government, any UAE government department, the FIU and any UAE enforcement agency, the Financial Action Task Force, the DFSA and the United Nations Security Council
Qualifications/Skills Required
Experience at a regulatory authority or in the Compliance department of a financial services company
Strong knowledge of trading in a variety of asset classes, including commodities
Demonstrable experience working with trade and communication surveillance systems and alerts and investigating associated conduct issues
Must be able to quickly grasp an understanding of alert triggers and trading behaviour
Must be able to prioritize in a fast moving, high pressure, constantly changing environment, and high sense of urgency
Ideally have experience in compliance monitoring
Strong attention to detail and accuracy essential as well as organization skills
Strong communication skills and outstanding verbal and written communication skills, with poise and confidence to interact with internal clients at all levels
Good team player with a strong willingness to participate and help others in the Compliance team
Millennium is a global, diversified alternative investment firm, founded in 1989, which manages $74.7 billion in assets. Defined by evolution, innovation and focus, Millennium's mission is to deliver high-quality returns for our investors. Millennium seeks to empower talented professionals with the sophisticated expertise, resources and technology to pursue a diverse range of investment strategies across industry sectors, asset classes and geographies. See our community guidelines at: mlp.com/guidelinesRead our disclosures at: https://www.mlp.com/disclosures/
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