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Supervisory Principal
Company | Citigroup |
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Location | Jacksonville, FL, USA |
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Salary | $103920 – $155880 |
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Type | Full-Time |
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Degrees | |
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Experience Level | Senior, Expert or higher |
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Requirements
- Significant experience in Capital Markets and the financial industry.
- Cross-disciplinary knowledge of compliance, operations, trading.
- Required Licenses: Series 7, 9/10, 31, 63 & 65 (or 66). Candidates willing to obtain missing licenses within 120 days are also encouraged to apply. Series 24, 4 in lieu of 9/10.
- Strong teamwork orientation.
- Excellent written and verbal communication skills.
- Project management skills.
- Ability to work under pressure, meet deadlines, and multitask in a fast-paced environment.
- Proactive and resourceful attitude.
Responsibilities
- Overseeing Investment Activities: Candidate will be responsible for providing oversight of various activities performed by the trade desks.
- Supervisory Oversight: Reviewing escalated surveillance issues, performing transaction surveillance, providing compliance/supervisory guidance to sales & trading teams, and maintaining and enhancing the control and supervisory culture.
- Regulatory Compliance: Monitoring regulatory developments, managing communications review and approval, and ensuring adherence to policies and standards.
- Review and approval of brokerage and capital markets activities, including business affiliations, personal trading and outside business activities.
- Managing, reviewing, and approving syndicate offerings including equity, fixed income and structured products.
- Assist with oversight of trading systems, rules engines and platforms used by Wealth Markets traders.
- Direct engagement with trade error remediation, reporting, escalation, tracking & metrics.
- Participating in and leading calls on Capital Markets topics.
- Monitoring continuing education and licensing requirements.
- Maintaining files associated with the OSJ (Office of Supervisory Jurisdiction).
- Assisting with various delegated tasks, projects, audits, compliance testing, and regulatory inquiries.
- Interfacing with Legal, Compliance, and Control partners.
- Assist with resolution of client complaints.
- Understanding various trading platforms and systems.
- Assisting with developing and contributing to system control enhancements across the business, systems, and platforms.
Preferred Qualifications
- Knowledge of Rates & other Derivatives a plus.