Your main responsibilities
1. Ensure compliance with financial and energy market regulations by developing and maintaining internal policies and guidelines.
2. Serve as the primary contact for regulatory inquiries from authorities, exchanges, and TSOs.
3. Monitor and enforce compliance within the Trading division; advise management and teams on regulatory matters.
4. Prepare compliance reporting, including risk analyses, memos, and updates for senior management.
5. Track regulatory developments (Switzerland & EU) and implement necessary compliance measures.
6. Support market surveillance and internal investigations.
7. Conduct compliance training and ensure up-to-date documentation.
8. Represent the company in external working groups (e.g. EFET) and industry events.
Your Profile
9. Bachelor’s or Master’s degree in Law or Business Economics; compliance or regulatory certifications are a plus.
10. At least 7 years of experience in trade compliance within the energy or financial services sector.
11. Deep knowledge of Swiss and European energy and financial market regulation.
12. Strong experience in regulatory reporting and market surveillance.
13. Fluent in English; German and/or French are a plus.
14. Excellent skills in MS Office and compliance documentation.
15. A collaborative mindset and experience in multicultural environments are advantageous.
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