Home › Companies › Socgen Iijp En › Control Room - Compliance Officer
Control Room - Compliance Officer
Socgen Iijp En · United States-New York-New York · Active · $1,096,073 / year · Oracle Taleo Enterprise
Job facts
| Field | Value |
|---|---|
| Company | Socgen Iijp En |
| Title | Control Room - Compliance Officer |
| Normalized title | - |
| Department / team | Jun 5, 2026 |
| Location | New York, NY, United States |
| Work model | - |
| Employment type | - |
| Salary | $1,096,073 / year |
| Status | active |
| ATS provider | Oracle Taleo Enterprise |
| Posted / first seen | — / 2026-06-06 |
| Changed / last seen | 2026-06-06 / 2026-06-06 |
Related slices
| Page | What it contains | Open |
|---|---|---|
| Company jobs | Active postings from Socgen Iijp En. | Open |
| Company breakdowns | Role, location, ATS, and work model facets for this company. | Open |
| ATS provider jobs | Active postings observed through Oracle Taleo Enterprise. | Open |
| Provider filtered search | The same provider as a filtered job collection. | Open |
| City jobs | Active postings in New York. | Open |
| Department jobs | Active postings in Jun 5, 2026. | Open |
| Lifecycle events | Open, update, close, and reopen events for this posting. | Open |
| Original posting | Canonical source or apply URL captured from the ATS. | Open |
Linked records
| Company | Socgen Iijp En |
| Source | 4756c56b-b088-46a0-9954-73906875b16c |
| ATS provider | Oracle Taleo Enterprise |
Description
The AMER Control Room is a crossline of the business Compliance function that is primarily responsible for providing advice and guidance with respect to policies and procedures reasonably designed to prevent the misuse of Material Non-Public Information (generally known as "MNPI"), and Global Banking and Advisory conflicts of interest.
Responsibilities include, but are not limited to:
Provide regulatory and Firm compliance advice / guidance on issues with respect to information barriers, investment research and investment banking conflicts of interest typical of a global investment bank. Oversee securities laws and related regulations concerning information barriers; develop and implement relevant policies and procedures and deliver training. Maintain up to date knowledge of research-related regulations, industry best practices on conflicts of interest and Control Room operations in this area. Manage the day-to-day review and clearance of Firm and affiliate research publications, ensuring compliance with applicable research regulations (e.g., FINRA Rules 2241 and 2242, SEC Rules 137, 138, 139, and Regulation M) and proactively identifying and addressing potential conflicts of interest. Coordinate as necessary with management, Supervisory Analysts, Compliance, and Legal teams. Effectively partner with Compliance and Legal teams across the firm, including Investment Banking, Capital Markets, Research (including Bernstein and Autonomous), and Sales and Trading Compliance teams. Maintain and update the Firm’s Watch and Restricted Lists. Advise and record all wall crossings. Chaperone interactions between the Investment Banking Department and the Research Department Conduct reviews of Investment Banking transactions for potential conflicts of interest and maintain the conflicts monitoring system. Liaise where necessary with management, Compliance, and Legal teams. Collaborate with Compliance teams in Europe and Asia to ensure global consistency in Control Room practices, policies, and procedures. Support internal and regulatory inquiries and investigations, providing subject matter expertise and ensuring timely and accurate responses. Contribute to the ongoing development and enhancement of Control Room policies, procedures, and technology platforms, identifying opportunities for process improvement and increased efficiency.
The AMER Control Room is a crossline of the business Compliance function that is primarily responsible for providing advice and guidance with respect to policies and procedures reasonably designed to prevent the misuse of Material Non-Public Information (generally known as "MNPI"), and Global Banking and Advisory conflicts of interest.
Responsibilities include, but are not limited to:
Provide regulatory and Firm compliance advice / guidance on issues with respect to information barriers, investment research and investment banking conflicts of interest typical of a global investment bank. Oversee securities laws and related regulations concerning information barriers; develop and implement relevant policies and procedures and deliver training. Maintain up to date knowledge of research-related regulations, industry best practices on conflicts of interest and Control Room operations in this area. Manage the day-to-day review and clearance of Firm and affiliate research publications, ensuring compliance with applicable research regulations (e.g., FINRA Rules 2241 and 2242, SEC Rules 137, 138, 139, and Regulation M) and proactively identifying and addressing potential conflicts of interest. Coordinate as necessary with management, Supervisory Analysts, Compliance, and Legal teams. Effectively partner with Compliance and Legal teams across the firm, including Investment Banking, Capital Markets, Research (including Bernstein and Autonomous), and Sales and Trading Compliance teams. Maintain and update the Firm’s Watch and Restricted Lists. Advise and record all wall crossings. Chaperone interactions between the Investment Banking Department and the Research Department Conduct reviews of Investment Banking transactions for potential conflicts of interest and maintain the conflicts monitoring system. Liaise where necessary with management, Compliance, and Legal teams. Collaborate with Compliance teams in Europe and Asia to ensure global consistency in Control Room practices, policies, and procedures. Support internal and regulatory inquiries and investigations, providing subject matter expertise and ensuring timely and accurate responses. Contribute to the ongoing development and enhancement of Control Room policies, procedures, and technology platforms, identifying opportunities for process improvement and increased efficiency.
Competencies & Skills:
Proficient understanding of U.S. securities laws, rules and regulations regarding capital markets (including Regulation M), as well as Self-Regulatory Organization rules including research (e.g., FINRA Rules 2241 and 2242), communication with the public, supervision and information barrier / conflicts, as well as knowledge of industry best practices. Experience in providing legal, regulatory or compliance guidance related to research review within the framework of capital market transactions is essential (including SEC Rules 137, 138 and 139). Ability to independently engage effectively with business management, and senior research analyst and investment bankers, while coordinating within a team environment. Ability to analyze complex situations and provide guidance in time sensitive situations. Resolve issues quickly and effectively. Ability to multi-task in a fast-paced environment. Excellent organizational, oral, and written communication skills. Attention to detail. Strong interpersonal skills. Must be team player. Strong work ethic and professionalism. Desire to learn. Adaptability and flexibility in a changing environment.
Qualifications (Experience, Education, Languages):
Bachelor’s Degree (JD desirable, securities licenses a plus). 5 years relevant financial industry experience related to control room activities, with experience in compliance for research and capital markets activities, preferably equity-related.
Competencies & Skills:
Proficient understanding of U.S. securities laws, rules and regulations regarding capital markets (including Regulation M), as well as Self-Regulatory Organization rules including research (e.g., FINRA Rules 2241 and 2242), communication with the public, supervision and information barrier / conflicts, as well as knowledge of industry best practices. Experience in providing legal, regulatory or compliance guidance related to research review within the framework of capital market transactions is essential (including SEC Rules 137, 138 and 139). Ability to independently engage effectively with business management, and senior research analyst and investment bankers, while coordinating within a team environment. Ability to analyze complex situations and provide guidance in time sensitive situations. Resolve issues quickly and effectively. Ability to multi-task in a fast-paced environment. Excellent organizational, oral, and written communication skills. Attention to detail. Strong interpersonal skills. Must be team player. Strong work ethic and professionalism. Desire to learn. Adaptability and flexibility in a changing environment.
Qualifications (Experience, Education, Languages):
Bachelor’s Degree (JD desirable, securities licenses a plus). 5 years relevant financial industry experience related to control room activities, with experience in compliance for research and capital markets activities, preferably equity-related.
Societe Generale is committed to offering an inclusive recruitment experience to all candidates. If you require any reasonable accommodations during the recruitment process, please do not hesitate to let our Recruiters know.
OUR CULTURE:
At Societe Generale, we live by our 4 core values of commitment, responsibility, team spirit and innovation. We are engaged and demonstrate consideration for others. We act ethically and with courage. We focus our talent and energy on collective success. We experiment and propose new ideas. This way, we maximize our ability to serve client needs and anticipate market changes. Societe Generale is committed to strengthening bonds with colleagues, communities, and the world in which we live, because relationships are at the heart of how we operate. For more information about our Culture and Conduct initiatives, please visit this link ( https://americas.societegenerale.com/en/careers/get-know-culture/ )
DIVERSITY, INCLUSION & BELONGING (“DIB”):
Our DIB Mission : Recruit, develop, retain and advance a talented workforce that is united in our efforts to leverage our talent and further develop an inclusive environment that will enhance our competitive position and deliver innovative solutions to our clients. It seeks to foster an environment where employee differences are valued and where all employees feel engaged, supported, respected, and informed. For more information about our DIB initiatives, please visit this link: https://americas.societegenerale.com/en/careers/get-know-diversity/
COMPENSATION:
Base salary range does not include overtime pay, bonus and/or other benefits, where applicable. Actual base salary offer will vary based on skills and experience. The role is eligible for an annual discretionary bonus and includes a competitive benefits package including 401(k) plan with company match, medical/dental/vision, and other benefits for fertility, wellness, student loans and commuters.
Societe Generale is committed to offering an inclusive recruitment experience to all candidates. If you require any reasonable accommodations during the recruitment process, please do not hesitate to let our Recruiters know.
OUR CULTURE:
At Societe Generale, we live by our 4 core values of commitment, responsibility, team spirit and innovation. We are engaged and demonstrate consideration for others. We act ethically and with courage. We focus our talent and energy on collective success. We experiment and propose new ideas. This way, we maximize our ability to serve client needs and anticipate market changes. Societe Generale is committed to strengthening bonds with colleagues, communities, and the world in which we live, because relationships are at the heart of how we operate. For more information about our Culture and Conduct initiatives, please visit this link ( https://americas.societegenerale.com/en/careers/get-know-culture/ )
DIVERSITY, INCLUSION & BELONGING (“DIB”):
Our DIB Mission : Recruit, develop, retain and advance a talented workforce that is united in our efforts to leverage our talent and further develop an inclusive environment that will enhance our competitive position and deliver innovative solutions to our clients. It seeks to foster an environment where employee differences are valued and where all employees feel engaged, supported, respected, and informed. For more information about our DIB initiatives, please visit this link: https://americas.societegenerale.com/en/careers/get-know-diversity/
COMPENSATION:
Base salary range does not include overtime pay, bonus and/or other benefits, where applicable. Actual base salary offer will vary based on skills and experience. The role is eligible for an annual discretionary bonus and includes a competitive benefits package including 401(k) plan with company match, medical/dental/vision, and other benefits for fertility, wellness, student loans and commuters.
Full job record
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| Provider | oracle_taleo |
| Provider Job Key | 1096073 |
| Title | Control Room - Compliance Officer |
| Normalized Title | — |
| Status | active |
| Active | yes |
| Location Text | United States-New York-New York |
| Department | Jun 5, 2026 |
| Team | — |
| Employment Type | — |
| Workplace Type | — |
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| Country | United States |
| Region | NY |
| City | New York |
| Salary Raw | $1096073 - $Submission for the position: Control Room - Compliance Officer - (Job Number: 260001JS) false |
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| Source URL | https://socgen.taleo.net/careersection/iijp/jobdetail.ftl?job=1096073&lang=en |
| Apply URL | https://socgen.taleo.net/careersection/iijp/jobdetail.ftl?job=1096073&lang=en |
| First Seen At | 2026-06-06 13:47:09Z |
| Last Seen At | 2026-06-06 20:05:50Z |
| Last Checked At | 2026-06-06 20:05:50Z |
| Last Changed At | 2026-06-06 13:47:09Z |
| Inactive At | — |
| Source Posted At | — |
| Source Updated At | — |
| Raw Payload Uri | s3://job-postings-prod-raw-590183727216/raw/provider=oracle_taleo/board=socgen|iijp|en/date=2026-06-06/2026-06-06T20-05-47-871Z-67dcc34444a7534ffdb2c0850bf7c2746673e5a9620232e1eaf8f8fe6b8e533f.json |
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