- Salary
- $150k - $200k
- Experience
- 6+ yrs
- Location
- New York, New York, United States
- Job type
- Full-time
About the role
6+ years compliance experience in broker-dealer/asset manager/financial services with marketing compliance focus; strong knowledge of FINRA Rule 2210, SEC advertising/Investment Adviser Marketing Rule, social media compliance; familiarity with AML, licensing, and employee compliance; bachelor’s preferred; no visa sponsorship.
About Susquehanna International Group
Global quantitative trading firm specializing in proprietary financial markets.
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