Compliance Officer

SchonfeldNew York, NY
$200,000 - $250,000Onsite

About The Position

We are seeking to hire an exceptional Trading and Systematic Advisory Compliance Officer to join our global compliance team in our New York office. You will act as subject matter expert for regulations that apply to the market infrastructure, and investment and trading elements of Schonfeld’s business lines. This role will have a primary focus on systematic, Delta 1, index, and macro strategies, with deep engagement in the trading operations and relationships that drive these business lines. You will need to be familiar with non-equity market mechanics, including trading venue rules and operations across asset classes such as futures, fixed income, credit, rates, FX, commodities, volatility, and equity index derivatives. Additionally, you will support systematic trading strategies, quantitative models, and the associated technology stacks that power Delta 1, index arbitrage, and macro trading desks. This position requires flexibility to support the wider compliance department with activities outside of the listed responsibilities.

Requirements

  • Bachelor’s degree
  • 5-7 years’ experience preferably in a multi-manager firm covering systematic trading or similar strategies.
  • Practical knowledge and experience of market structures, products, quantitative methods, models, and data analysis techniques.
  • Highly self-motivated, organized, and attentive to detail.
  • Capable of managing a diverse workload and prioritizing tasks in a fast-paced corporate environment. Structured, methodical, and consistent in execution.
  • Adaptable and open to change, a natural problem solver and lateral thinker.
  • Calm and concise communicator, collaborative and able to engage well with staff of varying roles and seniority.
  • Firm and team first in thinking.

Nice To Haves

  • Familiarity of using various AI elements
  • Some coding capability

Responsibilities

  • Act as point of contact and manage key relationships with business line partners for Compliance.
  • Providing compliance advice and training to investment personnel on their activities; including managing the flow of live trading queries and responding in a timely risk-based fashion.
  • Engage in the review of, and input into the approval for new investment instruments, products, strategies, technology, models, trading venues, and trading activities.
  • Act as compliance SME as needed for relevant business change initiatives including the acquisition of new teams.
  • Act as an escalation line for compliance program monitoring, testing, risk assessments, trade surveillance, and control evaluations connected to your coverage area.
  • Act as first line for exchange and regulator queries related to market activity.
  • Support and preparation of your business coverage for formal examinations.
  • Track and lead regulatory change initiatives connected to relevant market structure and investment related regulatory change.
  • Control room support including wall crosses, market soundings, MNPI and confidential information control.
  • Support the wider Global Markets Advisory team and Compliance department as needed.

Benefits

  • performance bonus
  • competitive benefits package
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