Key Responsibilities:
- Lead the review and assessment of trading activities to identify potential market abuse, conduct concerns, and unusual trading patterns.
- Perform risk-based investigations into surveillance alerts and determine appropriate escalation and remediation actions.
- Partner closely with Front Office, Compliance, Risk, Financial Crime, Legal, Audit, and Technology teams to strengthen surveillance capabilities.
- Support regulatory reviews, internal audits, and responses to supervisory enquiries by providing high-quality analysis and documentation.
- Enhance surveillance methodologies by improving alert quality, optimizing detection thresholds, and reducing false positives.
- Assess emerging market conduct risks and recommend enhancements to surveillance strategies and control frameworks.
- Participate in strategic projects involving surveillance transformation, regulatory change, automation, and analytics.
Key Requirements:
- 12+ years of experience within Investment Banking or Global Markets.
- Hands-on experience reviewing and investigating trade surveillance alerts.
- Strong understanding of market abuse risks, trading behaviours, and regulatory expectations.
- Expertise across one or more asset classes, with significant exposure to Fixed Income products.
- Experience working with cross-functional teams supporting Front Office, Compliance, and Risk.
Vice President - Fixed Income - Trade Surveillance Advisory • Pune, India