Provide trading regulatory advice to entities of the group and take a proactive role in identifying potential trading compliance weaknesses and initiating measures to rectify these
Establishing regulatory policies and guidelines as well as providing proactive initiative in supporting all stakeholders regarding regulatory topics
Ensuring trading regulatory reporting compliance
Investigate and resolve trading regulatory matters
Supporting the review of trading regulatory processes and procedures
Qualifications
Strong educational records
Over 3-5 years experience of working in a trading compliance department in a commodity / trading company / financial institution
Experience with various EU commodity exchanges and commodity derivative trading
Strong knowledge of the regulations EMIR, REMIT, MiFID II / R, MAD / MAR. Knowledge on Dodd-Franck, FATCA and FINFRAG is a plus. Knowledge of Capital Market is a plus
Significant experience working as business trading compliance with front office in an energy company and / or an investment banking environment
Excellent English communication skills, both written and oral. Other speaking / written language is an advantage