A senior compliance role in Commodities and Global Markets at Macquarie Group, focusing on monitoring regulatory changes, providing compliance guidance, and supporting the global Commodities and Global Markets business with regulatory implementation and policy drafting.
As a Senior Manager in Compliance, you will actively monitor and implement regulatory changes impacting the global Commodities and Global Markets business, with a focus on providing regulatory guidance to equity derivatives and trading teams, engaging in key cross-border workstreams, and supporting the setup of a new US entity.
The ideal candidate will have 8-12 years of legal or regulatory experience in financial markets, with extensive knowledge of derivative obligations, SEC and CFTC regulations, and experience in industry forums like ISDA and SIFMA. Strong skills in drafting compliance policies, performing compliance testing, and managing regulatory filings are essential.
Macquarie offers a supportive work environment with competitive benefits including hybrid working, wellbeing leave, generous parental leave, volunteer opportunities, and a commitment to diversity and inclusion. This role provides an opportunity to work with a global financial services group with 55 years of unbroken profitability.