Fixed Income Compliance Advisor, VP
Societe Generale
Responsibilities
Société Générale Wholesale Banking Compliance Department is recruiting for a Fixed Income Markets Compliance Advisor role. This high profile, trading floor-based role operates in a fast-paced, dynamic environment that has exciting growth.
The Markets Compliance Advisory team are proactive in providing compliance, regulatory, conduct and reputational risk advice to business lines under their coverage. The Fixed Income Compliance Advisors cover the following business lines: credit (bonds, loans, ABS), rates, FX, corporate sales, cross-asset sales, emerging markets, secured financing/securities lending, and investment research. The Fixed Income Advisors also cover the XVA team and assist various support and operational functions with their product expertise, ensuring that the advice provided to those functions is suited to the needs of the Fixed Income business lines.
The team also works closely with colleagues in Financial Crime Compliance, the Control Room, Capital Markets Surveillance and the Global Banking Technology and Operations Compliance Teams within CPLE.
- Advise business lines on compliance, regulatory, and reputational risks, providing practical solutions.
- Stay informed on business strategy changes and their impact on regulatory risk.
- Maintain knowledge of market practices and compliance policies.
- Provide compliance guidance on new products and participate in product/change committees.
- Build strong relationships with business lines and promote compliance culture.
- Participate in annual risk assessments and ensure mitigation actions are implemented.
- Liaise with overseas teams to align on UK regulatory requirements and FCA rules.
- Support surveillance and controls teams with transaction monitoring and desk reviews.
- Assess impact of new regulations and ensure business line compliance.
- Develop and deliver regulatory training for staff.
- Engage regularly with global compliance representatives to ensure consistent practices.
- Participate in investigations and respond to regulatory enquiries and complaints.
- Contribute to compliance policy development and industry consultations.
- Communicate regulatory changes and ensure implementation within business lines.
- Escalate issues promptly to senior compliance leadership.
- Deliver items from the annual Compliance Plan relevant to the team.
- Maintain detailed knowledge of MiFID II, FCA, PRA, FX Global Code, and other regulations.
- Represent the organization in trade associations and industry forums on regulatory matters.