This position is listed on behalf of a partner company, who manages all applications and next steps. Our partner is looking for a Business Line Compliance Officer based in the United States.
This role is a high-impact compliance advisory position supporting investment banking and capital markets activities within a fast-paced, regulated financial environment. You will act as a front-line compliance partner to client-facing business lines, ensuring that trading, advisory, and capital markets activities align with applicable securities regulations and internal policies. The role combines regulatory expertise with hands-on advisory work, requiring close collaboration with senior stakeholders across business and control functions. You will help shape compliance frameworks, enhance supervisory controls, and support the development of policies that strengthen risk management across private-side activities. In addition, you will contribute to marketing and communications reviews, ensuring all client-facing materials meet regulatory standards. This is a highly analytical and autonomous role where judgment, precision, and communication are essential. It offers exposure to complex financial products and strategic transactions in a dynamic institutional setting.