London, USA
19 days ago
Legal & Compliance Analyst

Are you a detail-oriented professional with a passion for compliance and legal matters? Do you thrive in dynamic environments and enjoy working with diverse teams? If so, we have an exciting opportunity for you!

About Us:
Robert W. Baird Group Ltd. is a leading financial services firm with a strong commitment to integrity, excellence, and teamwork. We provide a wide range of services, including investment banking, fixed income capital markets, institutional equity sales & trading, private equity, and more. Our team is dedicated to delivering exceptional results for our clients while maintaining the highest standards of compliance and legal integrity.

Why Join Us?
At Robert W. Baird Group Ltd., we value our employees and offer a supportive and collaborative work environment. You will have the opportunity to work with a talented team, gain valuable experience, and contribute to our continued success. We are committed to your professional growth and development.


Key Responsibilities:
•    Assist with AML & KYC processes, including client account opening and sanction checks.
•    Review transaction and trade reports, and conduct automated surveillance.
•    Support data protection responsibilities.
•    Conduct compliance monitoring activities across our European offices.
•    Oversee and maintain compliance registers.
•    Assist with the review and drafting of contracts, NDAs, and other legal documents.
•    Prepare management reports for Board Meetings.
•    Update and enhance compliance procedures manuals.
•    Provide compliance training and support for new joiner processes.
•    Stay up-to-date with regulatory and industry updates.


Key Competencies and Skills:
•    High level of tenacity and a 'can do' attitude.
•    Ability to work to tight deadlines while maintaining high standards.
•    Strong teamwork and independent work capabilities.
•    Ability to identify and escalate inefficiencies and risks.
•    Adaptability to meet business needs without compromising standards.
•    Superior organization, prioritization, and administrative skills.
•    Flexibility to work in an ever-changing environment.
•    Personable and approachable with good energy.


Qualifications:
•    Minimum of 1 to 2 years of experience in a financial services environment.
•    Some experience in a relevant field, e.g., compliance monitoring or financial crime preferred.
•    Legal background preferable.
 

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