Vice President, Control Room Compliance Officer
Company: BGC Partners
Location: Jacksonville
Posted on: March 28, 2026
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Job Description:
As a Vice President in Control Room Compliance, you will be a
key advisor and guardian of our firms integrity. Youll navigate
complex regulations, support business growth, and maintain our
strong reputation. This role offers a unique opportunity to make a
significant impact and contribute to our success in a fast-paced,
dynamic environment. Responsibilities Provide daily advisory
support to Global Equity Research, focusing on research
independence, conflicts of interest, and MNPI controls. Guide
business partners on evolving regulatory obligations, assessing
compliance for new business activities. Review and evaluate
business initiatives, ensuring alignment with regulations and firm
policies. Develop and enhance policies for Research, information
barriers, and Investment Banking interactions. Design and deliver
targeted training programs to reinforce compliance and regulatory
awareness. Lead Compliance Risk Assessments, identifying emerging
risks, and present recommendations. Manage compliance issues,
escalating and resolving them through formal channels with thorough
documentation. Contribute to surveillance and monitoring activities
for Global Research, leveraging data and technology. Partner with
business functions for regulatory examinations, audits, and
investigations. Independently manage projects, collaborate
cross-regionally, and build strong relationships with senior
stakeholders. Qualifications Bachelors degree is required, with a
preference for advanced degrees (J.D., M.B.A., or equivalent).
Minimum 5-8 years of Compliance experience in investment banking,
broker-dealer, or financial services, with Control Room, Research
Compliance, or information barrier expertise. Active FINRA Series 7
and Series 24 licenses or the ability to obtain them within a
defined timeframe. Strong knowledge of equity research regulations,
information barriers, and Investment Banking compliance. Excellent
communication skills to build credibility and influence senior
stakeholders. Analytical and problem-solving abilities, with a
proactive and detail-oriented approach. Ability to work
independently and as part of a team. Experience with global
research distribution models and cross-border regulations is
preferred. In-depth knowledge of FINRA Rules 2241/2242, Regulation
M, Regulation AC, and related frameworks. Prior experience
supporting regulatory exams or interactions with FINRA/SEC is an
asset.
Keywords: BGC Partners, Gainesville , Vice President, Control Room Compliance Officer, Accounting, Auditing , Jacksonville, Florida