hireejobs
Hyderabad Jobs
Banglore Jobs
Chennai Jobs
Delhi Jobs
Ahmedabad Jobs
Mumbai Jobs
Pune Jobs
Vijayawada Jobs
Gurgaon Jobs
Noida Jobs
Oil & Gas Jobs
Banking Jobs
Construction Jobs
Top Management Jobs
IT - Software Jobs
Medical Healthcare Jobs
Purchase / Logistics Jobs
Sales
Ajax Jobs
Designing Jobs
ASP .NET Jobs
Java Jobs
MySQL Jobs
Sap hr Jobs
Software Testing Jobs
Html Jobs
IT Jobs
Logistics Jobs
Customer Service Jobs
Airport Jobs
Banking Jobs
Driver Jobs
Part Time Jobs
Civil Engineering Jobs
Accountant Jobs
Safety Officer Jobs
Nursing Jobs
Civil Engineering Jobs
Hospitality Jobs
Part Time Jobs
Security Jobs
Finance Jobs
Marketing Jobs
Shipping Jobs
Real Estate Jobs
Telecom Jobs

Vice President - Trade Surveillance

10.00 to 14.00 Years   Mumbai City   04 Jun, 2023
Job LocationMumbai City
EducationNot Mentioned
SalaryNot Disclosed
IndustryBanking / Financial Services
Functional AreaSBU Head / CEO / Director
EmploymentTypeFull-time

Job Description

    *Division: Legal & Compliance (LCD) Super - Department: Compliance Department: Surveillance Sub-Department: ISG Trade Surveillance Region: EMEA Job Level: Vice President Job Title: Vice President Employment Type: Full Time Location: Mumbai (Nirlon Knowledge Park) Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. The Firms employees serve clients worldwide including corporations, governments and individuals from more than 1,200 offices in 43 countries. As a market leader, the talent and passion of our people is critical to our success. Together, we share a common set of values rooted in integrity, excellence and strong team ethic. Morgan Stanley can provide a superior foundation for building a professional career - a place for people to learn, to achieve and grow. A philosophy that balances personal lifestyles, perspectives and needs is an important part of our culture. Legal and Compliance Legal & Compliance Division (LCD) comprises of Legal, Compliance, Global Financial Crimes and Regulatory Relations. The Legal Department provides guidance, requirements and procedures for understanding and complying with the laws, regulations and Firm policies that apply to our businesses. The Global Compliance Department identifies applicable Compliance Obligations and maintains a Firmwide Compliance Risk management program, including Compliance Risks that transcend business lines, legal entities and jurisdictions of operation. Global Financial Crimes is responsible for the development and governance of the Firms financial crime prevention efforts across all regions and business units. Global Financial Crimes is comprised of the Anti-Money Laundering (AML), Sanctions, Anti-boycott, Anti-Corruption (ACG), Government, and Political Activities Compliance (GPAC) programs. The Global Regulatory Relations Group (GRRG) is responsible for strategic and centralized management of the supervisory activities of Morgan Stanleys regulators and related developments globally, with a focus on regulatory reviews and examinations and continuous monitoring activities. GRRG serves as the central point of contact for the regulatory staff responsible for supervisory activities at Morgan Stanley entities and for timely reporting to Firm management and other governance or management bodies, as appropriate, on those relationships and supervisory processes, including areas of significant regulatory focus or concern. LCD Center of Excellence Mumbai (LCDCoE) is a part of Morgan Stanleys Global In-house Center, which provides global support to LCD and is an integral part of Firm and LCD strategy The EMEA Trade Surveillance team is responsible for designing, implementing and operating a range of automated surveillance controls to detect and report market abuse and other misconduct risks across the Firms institutional securities (ISG) and investment management businesses. The team works closely with global colleagues and stakeholders across the Firm (including staff in Legal and Compliance, Business Unit Risk Management, Operations and Technology) to promote the ongoing development and effectiveness of the surveillance program, *Primary Responsibilities (Day Job)The candidate will have several areas of responsibility including, but not limited to, the following:Overseeing or conducting the daily surveillance of equities, derivatives, fixed income and commodities trading to monitor for compliance with regulatory and exchange requirements.Liaising with Compliance colleagues, Operations and front office staff to investigate surveillance alerts as necessary.Resolving escalated alerts appropriately and promptly, documenting results clearly and escalating possible exceptions as appropriate.Monitoring the efficiency and effectiveness of reports.Conducting ad hoc trading reviews to support Legal and Compliance colleagues, including detailed incident reviews as necessary, reporting STORs to the UK FCA or other competent authorities as required.Assisting with the design and deployment of new controls, in addition to the enhancement and calibration of existing controls. Assisting in the delivery of surveillance related projects or initiatives.Maintaining effective and constructive working relationships with staff located in other regions across a range of levels, building relationships with internal clients and collaborating with colleagues across the EMEA region and in global surveillance teams to deliver the annual surveillance program.Working with key stakeholders (e.g. Sales & Trading Coverage, Business Unit Risk Management, Technology, third party vendors) to identify, design and implement enhancements to the surveillance program.Assisting in the production and enhancement of Management Information (MI) reporting.Providing expert advice to the Regulatory Enquiries and business-line Compliance teams on surveillance matters, including trading behavior, exchange functionality, market dynamics, suspicious behaviors, etc.RequirementsExperience10+ years of relevant working experience in the financial services industry in Compliance or internal audit or with a securities exchange or securities regulator.Preference will be given to candidates with relevant experience in Trade Surveillance.KnowledgeExcellent knowledge of rules and regulations.Strong knowledge of products and market infrastructure.Skills and QualitiesExcellent communication skills: able to communicate complex scenarios and concepts clearly, concisely and effectively, both verbally and in writing, to stakeholders across all levels.Strong analytical skills: experience of handling, analyzing and presenting large data sets to identify exceptions or anomalies.Proven experience of analyzing control logic or thresholds to assess effectiveness and identify possible enhancements. Bright, organized and well-developed execution skills; capable of managing competing deadlines.Confidence to use own initiative and apply judgment in an in-house context.Proven ability to develop rapport and promote effective 2-way communication with colleagues in global offices, fostering trust and an environment which supports development and constructive feedback.Adaptable and willingness to assist and support colleagues, promoting the overall success of the EMEA surveillance program.Experience using third party trade surveillance tools (e.g. Nasdaq Trade Surveillance, Actimize) and market data vendors (e.g. Bloomberg, Reuters Eikon).Use of Tableau/SQL to query large data sets.Post Graduate Degree/ MBA in Finance. CoverageMonday to Friday from 09:00AM to 6:00PM India time with flexibility on standard working hours for time sensitive matters (including India Public Holidays)

Keyskills :
cost controlproject managementfixed incomemarket dataautomation

Vice President - Trade Surveillance Related Jobs

© 2019 Hireejobs All Rights Reserved