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Capstone Investment Advisors

Senior Compliance Officer

1w

Capstone Investment Advisors

London, GB · Full-time · £90,000 – £150,000

About this role

Capstone Investment Advisors is a global asset manager dedicated to exploring alpha opportunities in derivatives and complementary strategies across market cycles. With approximately $11.8 billion of AUM and offices in London among others, join the global Legal and Compliance team as Senior Compliance Officer based in New York headquarters. Lead day-to-day management of the Global trade compliance practice area.

Provide real-time on-desk compliance advisory support to trading staff across diverse products, strategies, and regions, including guidance on Rule 105 of Regulation M, Regulation SHO, Cross Trades, and Best Execution. Partner with technology teams to manage pre- and post-trade compliance checks in proprietary systems. Oversee policy and procedures for trading governance and quantitative trading activity.

Report to the Head of Global Compliance within a collaborative team focused on legal, compliance, and regulatory operations. Build relationships across Investment, Technology, Operations, Middle Office, and Finance teams. Work in a fast-paced environment emphasizing proactive, responsive multi-tasking.

Access greater resources, direct exposure to senior leadership, and opportunities to experiment and innovate through shared ideas. Develop skills while advising on Wall Cross opportunities, permissible transactions, and regulator responses. Contribute to disciplined collaboration and transcendent thinking at Capstone.

Requirements

  • Intellectually curious and dynamic individual for fast-paced environment
  • Proactive, responsive, and able to multi-task efficiently
  • Ability to create relationships across Investment, Technology, Operations, Middle Office, and Finance teams
  • Driven, results-oriented with flexibility to adapt to changing priorities
  • Knowledge of Rule 105 of Regulation M, Regulation SHO, cross trades, trade allocations, best execution
  • Familiarity with Wall Cross processes, ERISA suitability, sanctions, MNPI handling
  • Experience providing real-time advisory to trading staff in asset management
  • Understanding of SEC, NFA/CFTC regulatory inquiries and exams

Responsibilities

  • Manage the trade compliance practice area
  • Provide on-desk compliance advisory support for trading staff across diverse products, strategies, and regions
  • Partner with technology teams to manage and oversee pre- and post-trade compliance checks
  • Oversee and enforce policy and procedures for trading governance and quantitative trading activity
  • Review and facilitate potential Wall Cross opportunities, including trading restrictions and documentation
  • Advise on permissible transactions such as cross trades, Regulation M offerings, ERISA suitability
  • Onboard and train new PMs and traders on trade compliance including MNPI, Reg M, Reg SHO, sanctions, trade allocation
  • Assist with responses to regulator inquiries and exams including SEC and NFA/CFTC
  • Support the trade surveillance program by investigating alerts

Benefits

  • Collaborative performance with shared ideas for greater outcomes
  • Greater access to resources and direct exposure to senior leadership
  • Opportunities to experiment and innovate in global markets
  • Human approach focusing on real people and team success