BHFT is a proprietary algorithmic trading firm. Our team manages the full trading cycle, from software development to creating and coding strategies and algorithms.
Our trading operations cover key exchanges. The firm trades across a broad range of asset classes, including equities, equity derivatives, options, commodity futures, rates futures, etc. We employ a diverse and growing array of algorithmic trading strategies, utilizing both High-Frequency Trading (HFT) and Medium-Frequency Trading (MFT) approaches.
Looking ahead, we are expanding into new markets and products. As a dynamic company, we continuously experiment with new markets, tools, and technologies.
We’ve got a team of 200+ professionals, with a strong emphasis on technology—70% are technical specialists in development, infrastructure, testing, and analytics spheres. The remaining part of the team supports our business operations, such as Risks, Compliance, Legal, Operations and more.
Our employees are located all around the world, from the United States to Hong Kong. Although we maintain office spaces, we currently operate as a 100% remote organization.
At BHFT, we cultivate a culture that emphasizes open communication, professional excellence, and a strong commitment to maintaining the highest standards of compliance. As a fully remote organization with a team of over 200+ professionals worldwide, including a dedicated Compliance function, we prioritize transparency, security, and adherence to strict regulatory standards.
We are seeking a highly motivated and detail-oriented Compliance Associate with experience in trade surveillance, position limit monitoring, and compliance testing. The ideal candidate will play a key role in supporting the firm’s regulatory compliance efforts related to futures and equities trading on global exchanges.
Surveillance & Monitoring:
Monitor and review trading activity for potential market abuse, manipulative behavior, or other regulatory violations using surveillance tools.
Investigate alerts and escalate potential issues to senior compliance leadership.
Position Limit Oversight:
Track and monitor firm and client positions to ensure compliance with exchange and regulatory position limits.
Liaise with internal stakeholders and exchanges to resolve issues and ensure adherence to applicable limits.
Compliance Testing & Controls:
Conduct periodic testing to ensure the firm’s policies and procedures are followed, particularly around surveillance, trade reporting, and position management.
Assist in the development and execution of the annual compliance testing plan.
Policy & Procedure Review:
Maintain and update internal compliance policies in response to regulatory developments.
Assist with training staff on compliance policies and regulatory changes.
Regulatory Support:
Support responses to regulatory inquiries and audits.
Prepare documentation and reports for internal and external stakeholders as needed.
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