Head of Fixed Income Compliance
Job in
New York, New York County, New York, 10261, USA
Listed on 2026-01-27
Listing for:
TP ICAP Group
Full Time
position Listed on 2026-01-27
Job specializations:
-
Finance & Banking
Corporate Finance, Regulatory Compliance Specialist
Job Description & How to Apply Below
** Group Overview
** The TP ICAP Group is a world leading provider of market infrastructure.
Our purpose is to provide clients with access to global financial and commodities markets, improving price discovery, liquidity, and distribution of data, through responsible and innovative solutions.
Through our people and technology, we connect clients to superior liquidity and data solutions.
The Group is home to a stable of premium brands. Collectively, TP ICAP is the largest interdealer broker in the world by revenue, the number one Energy & Commodities broker in the world, the world’s leading provider of OTC data, and an award winning all-to-all trading platform.
The Group operates from more than 60 offices in 27 countries. We are 5,300 people strong. We work as one to achieve our vision of being the world’s most trusted, innovative, liquidity and data solutions specialist.
** Role Overview
** TP ICAP is seeking a Head of Fixed Income Compliance to provide regulatory/compliance advice and support to the Firm’s fixed income trading and operational functions. This hybrid Head of Fixed Income Compliance will manage a small team of compliance professionals, work as a member of the Americas Compliance team based in TP ICAP’s New York offices and report into the Chief Compliance Officer, Americas.
Products supported will include (collectively, the “Fixed Income Products”):
* US Treasury securities;
* Agency debt securities;
* Corporate debt securities (together with CDS and CDX indices);
* Emerging Markets sovereign and corporate debt (together with CDS and CDX indices);
* Securitized Product securities;
* Repos;
* Municipal bond securities;
* Interest Rate Swaps (US, Canadian and various Lat Am currencies);
* Interest Rate Options;
* Spot FX;
* Deliverable FX Forwards (multiple currencies);
* Non-Deliverable FX Forwards (multiple currencies);
* FX Options; and
* Fed Funds and other Short Term products.
The candidate must have a familiarity with most, if not all, of the Fixed Income Products and strong writing skills as they will be expected to draft, revise, and implement policies, written supervisory procedures, screen protocols, trading rules and Form ATS exhibits. The candidate may also conduct surveillance reviews related to the Fixed Income Products and will also handle regulatory exams, inquiries and responses from each of the major regulatory bodies (e.g. FINRA, SEC, CFTC, NFA) that provide oversight of the firm.
Additional duties will include managing/driving Compliance projects, providing stakeholder advice on strategic/new business initiatives, enhancing compliance framework/controls, and training staff.
** Key Stakeholders
** Business stakeholders (Business Managers, Heads of Desks and Brokers);
Legal;
Risk; HR; IT;
Finance;
Operations and the wider Compliance function.
** Role Responsibilities
*** Manage a small team of compliance professionals to ensure compliance with regulations in the United States, Canada and one or more South American jurisdictions;
* Ensure that the Firm meets its obligations pursuant to key regulations related to the Fixed Income Products, including but not limited to, electronic, algorithmic, hybrid and voice trading;
* Respond to and address inquiries from various fixed income business units throughout the firm to ensure compliance with applicable laws, regulations, and firm policies;
* Provide accurate and timely advice to the Business and other functions, including inquiries and escalations from various trading and operations staff;
* Create and maintain controls relative to TRACE and RTRS trade reporting, Reg ATS, Rule 15a-6 and other applicable rules and regulations; perform assurance work as necessary;
* Review and advise on new business initiatives related to the Fixed Income Products;
* Draft, review, and revise manuals, policies, written supervisory procedures, screen protocols, trading rules, Form ATS exhibits and other documents;
* Manage and respond to regulatory examinations, investigations and inquiries related to the Fixed Income Products;
* Ensure timely filing of regulatory reports and updates and respond to any regulatory inquires;
* Review trade exception reports and trading…
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