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Interactive Brokers LLC, has an immediate need for a Junior Compliance Analyst at our Chicago office.
Interactive Brokers LLC, a subsidiary of Interactive Brokers Group, Inc.(NASDAQ: IBKR) is a direct access electronic broker catering to the needs of professional and frequent traders, institutional investors, financial advisors, and introducing brokers. Our clients have access to more than 100 market centers in 26 countries from a single account. We are the lowest cost provider of brokerage services and the largest U.S. electronic broker based on daily average revenue trades executing 657,000 trades per day.* Our employees are part of a dynamic, multinational, fast paced, results oriented team working to provide our customers with state-of-the-art trading technology, superior execution capabilities, worldwide electronic access, and sophisticated risk management tools.
In the absence of direct industry experience, we will also consider applicants with excellent Bachelor's-level educational credentials who have some background in law, accounting, computer science or similar areas with strong analytical and quantitative skills.
*Figures as of March 31, 2017. For more information about Interactive Brokers visit: www.interactivebrokers.com
Prepare Surveillance Report review and memorialization
Assist with Anti Money Laundering Program
Conduct Fraud Monitoring
Develop knowledge about firm processes
Advise management by collecting, analyzing, and summarizing data and trends.
College degree is required. Acceptable majors include: Finance, Accounting, or Information Systems.
0- 2 years experience
Knowledge of the SRO, Broker Dealer and/or FCM environment, and equities and equity-linked products is key.
High proficiency with desktop applications and MS Office suite of products is required.
Must be comfortable working in an automated, hands-on environment.
Excellent written and oral communication skill sets are important prerequisites.
Additional preferred Skills:
Knowledge of UNIX, SQL, Perl is a plus
Experience with an SRO, Broker Dealer or FCM,
Experience within a Compliance Department, internal audit, legal or a control function of a SRO, BD or FCM.
Trading background with the ability to understand and breakdown complex trading strategies.