Compliance Advisor – BP America
Compliance Advisors were hired to work on the trading floor of this Fortune 25 Energy firm and are charged with overseeing the regulation and compliance monitoring of the firm’s oil trading activity. Individuals in this key compliance role are responsible for training traders on regulatory issues and responding to any concerns that come up during the course of the trading day. Two successful candidates included Assistant General Counsel from a mid-sized broker-dealer and a Senior Manager of Surveillance Systems at a financial exchange.
Head of Counterparty Risk – BP Americas Trading
Manager of Market Risk Analytics – BP Trading, Oil Americas