Are you motivated by the opportunity to shape a global compliance strategy and promote a culture of integrity at the highest level? Are you seeking a role where your expertise can drive meaningful impact and support strategic decision-making? Do you value being part of a high-performing team that is committed to excellence and continuous improvement? If so, you may be the ideal candidate we are looking for WHAT YOU’LL DO Develop and implement a global compliance strategy, ensuring alignment with regulatory requirements and industry best practices. Lead the conflicts of interest management program (personal account trading, outside business interests, etc.), including oversight, reporting, and platform management. Design, co-ordinate and lead global compliance training programs for both the Business and the Compliance function to foster a culture of integrity and regulatory adherence. Monitor emerging regulatory trends and advise on necessary policy adaptations. Prepare and present compliance reports to senior management, highlighting key risks and strategic recommendations. Collaborate with global compliance, legal, and risk teams to ensure a unified approach. WHAT YOU’LL GET You’ll join a culture of collaboration and excellence, where you’ll be surrounded by curious thinkers and creative problem solvers. Motivated by a passion for continuous improvement, you’ll thrive in a supportive, high-performing environment alongside talented colleagues, working collectively to tackle the toughest problems in the financial markets. In addition, you’ll receive: A performance based bonus structure unmatched anywhere in the industry. We combine our profits across desks, teams and offices into a global profit pool. The opportunity to work alongside best-in-class professionals 27 paid vacation days (not including additional public holidays) Support on commuting expenses ClassPass fitness membership Private Medical Insurance Training, conference attendance and continuous learning opportunities Extensive office perks, including breakfast and lunch, barista coffee, sports and leisure activities, Friday afternoon drinks, and weekly in-house massages WHO YOU ARE 3 years’ industry experience within a global financial institution or consultancy firm Awareness of global regulations/regulatory authorities, including MiFID II and MAR Experience in designing, leading, and delivering programs Experience running a core compliance program Ability to engage with a range of different stakeholders Strong written communication skills including proficiency in PowerPoint Strong organisational, analytical, leadership, and communication skills, with the ability to influence WHO WE ARE At Optiver, our mission is to continuously improve the market. By providing liquidity and accurate pricing in various financial instruments, to multiple exchanges across the world, we participate in the safeguarding of healthy and efficient markets. HOW TO APPLY Are you interested in furthering your career on one of the most dynamic and exciting trading floors in Europe? Apply directly via the form below. If you have any questions, feel free to contact our Recruitment team at recruitmentoptiver.com Please note: We cannot accept applications via email for data protection reasons We do not require any assistance from third-parties including agencies in the recruitment of this role DIVERSITY STATEMENT Optiver is committed to diversity and inclusion .