**Macro Compliance Associate:** Ensure regulatory compliance for macro trading activities. Key responsibilities include monitoring macro positions, maintaining compliance records usingлера Aktiengesellschaft (ELA) system, and coordinating with global teams. Proven experience in compliance roles (3+ years), strong knowledge of derivatives and macro trading, proficiency in ELA and Microsoft Office Suite required. Familiarity with regulatory bodies (e.g., SEC, CFTC) and relevant regulations a plus. Must-have skills: data analysis, risk assessment, stakeholder communication.
Point72, L.P. and its affiliates and our third-party partners use cookies and similar technologies to view and retain your site interactions to perform analytics, enable site functionality and assist our marketing efforts exclusively for recruiting purposes. By continuing to use our site, you consent to these data practices, as described in our Privacy Policy.
The Point72 Compliance department is an industry-leading team of compliance professionals who support global investment and trading activities by establishing and enforcing the firm’s compliance policies, providing real-time advice, and conducting pre- and post-trade surveillance. Our team is essential to Point72’s success and we provide mentorship, a growth path, and the opportunity for a long-term career with us.
What you’ll do
Provide advice and guidance to the Global Macro business covering rates, foreign exchange, emerging markets, credit, asset-backed securities, and macro derivatives strategies
Partner with macro portfolio managers and trading teams to embed and enforce practical, real-time compliance controls
Support pre-trade and post-trade monitoring programs and investigative processes to detect and resolve trading, market conduct, and policy breaches
Assist with diligence reviews and the approvals process for new products, markets, brokers, and counterparties, driving timely decisions and clear documentation
Conduct complex compliance reviews and investigations, produce concise findings and remediation plans, and manage escalations to senior compliance leaders
Manage cross-functional coordination with legal, risk, operations, finance, technology, and third-party vendors to implement and enhance compliance solutions
Assist with regulatory readiness efforts and contribute to responses to regulatory inquiries or examinations related to macro trading activities
Monitor global regulatory developments affecting macro markets and translate those changes into actionable policy updates and process improvements
Conduct new-hire and annual macro-based compliance training for macro teams to translate regulatory and firm requirements into day-to-day practices
Chaperone calls and meetings between macro investment professionals and third parties
Collaborate with macro management and colleagues across the firm to support oversight and Compliance initiatives
Serve as a subject-matter expert to both the broader Compliance team and investment professionals regarding adherence to firm policies and procedures
What’s required
Juris Doctorate degree from an accredited law school and bar admission
Minimum of 3 years of compliance experience supporting macro or trading businesses at a hedge fund, asset manager, or broker-dealer
Demonstrated experience overseeing compliance for macro products, including interest rate swaps, sovereign bonds, foreign exchange, credit, asset-backed securities, commodities, and derivatives
Practical experience analyzing laws and regulations related to commodity interests and securities, including SEC Rule 10b-5, CFTC Rule 180.1, and the analysis of potential MNPI
Proven experience designing and operating trade surveillance, pre-trade controls, and post-trade investigative workflows
Proven ability to lead cross-functional projects and engage senior stakeholders under time pressure
Strong written and verbal communication skills with strong judgment and the ability to explain complex legal and compliance concepts to non-legal audiences
Excellent analytical skills, attention to detail, and the ability to operate independently and manage multiple priorities simultaneously in a fast-paced environment
Commitment to the highest ethical standards
We take care of our people
We invest in our people, their careers, their health, and their well-being. When you work here, we provide:
Fully-paid health care benefits
Generous parental and family leave policies
Volunteer opportunities
Support for employee-led affinity groups representing women, people of color and the LGBT+ community
Mental and physical wellness programs
Tuition assistance
A 401(k) savings program with an employer match and more
About Point72
Point72 is a leading global alternative investment firm led by Steven A. Cohen. Building on more than 30 years of investing experience, Point72 seeks to deliver superior returns for its investors through fundamental and systematic investing strategies across asset classes and geographies. We aim to attract and retain the industry's brightest talent by cultivating an investor-led culture and committing to our people's long-term growth. For more information, visit https://point72.com/.
The annual base salary range for this role is $125,000-$175,000 (USD) , which does not include discretionary bonus compensation or our comprehensive benefits package. Actual compensation offered to the successful candidate may vary from posted hiring range based upon geographic location, work experience, education, and/or skill level, among other things.
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A Career with Point72's Compliance Team
\n
The Point72 Compliance department is an industry-leading team of compliance professionals who support global investment and trading activities by establishing and enforcing the firm’s compliance policies, providing real-time advice, and conducting pre- and post-trade surveillance. Our team is essential to Point72’s success and we provide mentorship, a growth path, and the opportunity for a long-term career with us.
What you’ll do
\n
Provide advice and guidance to the Global Macro business covering rates, foreign exchange, emerging markets, credit, asset-backed securities, and macro derivatives strategies
Partner with macro portfolio managers and trading teams to embed and enforce practical, real-time compliance controls
Support pre-trade and post-trade monitoring programs and investigative processes to detect and resolve trading, market conduct, and policy breaches
Assist with diligence reviews and the approvals process for new products, markets, brokers, and counterparties, driving timely decisions and clear documentation
Conduct complex compliance reviews and investigations, produce concise findings and remediation plans, and manage escalations to senior compliance leaders
Manage cross-functional coordination with legal, risk, operations, finance, technology, and third-party vendors to implement and enhance compliance solutions
Assist with regulatory readiness efforts and contribute to responses to regulatory inquiries or examinations related to macro trading activities
Monitor global regulatory developments affecting macro markets and translate those changes into actionable policy updates and process improvements
Conduct new-hire and annual macro-based compliance training for macro teams to translate regulatory and firm requirements into day-to-day practices
Chaperone calls and meetings between macro investment professionals and third parties
Collaborate with macro management and colleagues across the firm to support oversight and Compliance initiatives
Serve as a subject-matter expert to both the broader Compliance team and investment professionals regarding adherence to firm policies and procedures
What’s required
\n
Juris Doctorate degree from an accredited law school and bar admission
Minimum of 3 years of compliance experience supporting macro or trading businesses at a hedge fund, asset manager, or broker-dealer
Demonstrated experience overseeing compliance for macro products, including interest rate swaps, sovereign bonds, foreign exchange, credit, asset-backed securities, commodities, and derivatives
Practical experience analyzing laws and regulations related to commodity interests and securities, including SEC Rule 10b-5, CFTC Rule 180.1, and the analysis of potential MNPI
Proven experience designing and operating trade surveillance, pre-trade controls, and post-trade investigative workflows
Proven ability to lead cross-functional projects and engage senior stakeholders under time pressure
Strong written and verbal communication skills with strong judgment and the ability to explain complex legal and compliance concepts to non-legal audiences
Excellent analytical skills, attention to detail, and the ability to operate independently and manage multiple priorities simultaneously in a fast-paced environment
Commitment to the highest ethical standards
We take care of our people
\n
We invest in our people, their careers, their health, and their well-being. When you work here, we provide:
Fully-paid health care benefits
Generous parental and family leave policies
Volunteer opportunities
Support for employee-led affinity groups representing women, people of color and the LGBT+ community
Mental and physical wellness programs
Tuition assistance
A 401(k) savings program with an employer match and more
About Point72
\n
Point72 is a leading global alternative investment firm led by Steven A. Cohen. Building on more than 30 years of investing experience, Point72 seeks to deliver superior returns for its investors through fundamental and systematic investing strategies across asset classes and geographies. We aim to attract and retain the industry's brightest talent by cultivating an investor-led culture and committing to our people's long-term growth. For more information, visit https://point72.com/.
The annual base salary range for this role is $125,000-$175,000 (USD) , which does not include discretionary bonus compensation or our comprehensive benefits package. Actual compensation offered to the successful candidate may vary from posted hiring range based upon geographic location, work experience, education, and/or skill level, among other things.
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**Macro Compliance Associate:** Ensure regulatory compliance for macro trading activities. Key responsibilities include monitoring macro positions, maintaining compliance records usingлера Aktiengesellschaft (ELA) system, and coordinating with global teams. Proven experience in compliance roles (3+ years), strong knowledge of derivatives and macro trading, proficiency in ELA and Microsoft Office Suite required. Familiarity with regulatory bodies (e.g., SEC, CFTC) and relevant regulations a plus. Must-have skills: data analysis, risk assessment, stakeholder communication.
Point72, L.P. and its affiliates and our third-party partners use cookies and similar technologies to view and retain your site interactions to perform analytics, enable site functionality and assist our marketing efforts exclusively for recruiting purposes. By continuing to use our site, you consent to these data practices, as described in our Privacy Policy.
The Point72 Compliance department is an industry-leading team of compliance professionals who support global investment and trading activities by establishing and enforcing the firm’s compliance policies, providing real-time advice, and conducting pre- and post-trade surveillance. Our team is essential to Point72’s success and we provide mentorship, a growth path, and the opportunity for a long-term career with us.
What you’ll do
Provide advice and guidance to the Global Macro business covering rates, foreign exchange, emerging markets, credit, asset-backed securities, and macro derivatives strategies
Partner with macro portfolio managers and trading teams to embed and enforce practical, real-time compliance controls
Support pre-trade and post-trade monitoring programs and investigative processes to detect and resolve trading, market conduct, and policy breaches
Assist with diligence reviews and the approvals process for new products, markets, brokers, and counterparties, driving timely decisions and clear documentation
Conduct complex compliance reviews and investigations, produce concise findings and remediation plans, and manage escalations to senior compliance leaders
Manage cross-functional coordination with legal, risk, operations, finance, technology, and third-party vendors to implement and enhance compliance solutions
Assist with regulatory readiness efforts and contribute to responses to regulatory inquiries or examinations related to macro trading activities
Monitor global regulatory developments affecting macro markets and translate those changes into actionable policy updates and process improvements
Conduct new-hire and annual macro-based compliance training for macro teams to translate regulatory and firm requirements into day-to-day practices
Chaperone calls and meetings between macro investment professionals and third parties
Collaborate with macro management and colleagues across the firm to support oversight and Compliance initiatives
Serve as a subject-matter expert to both the broader Compliance team and investment professionals regarding adherence to firm policies and procedures
What’s required
Juris Doctorate degree from an accredited law school and bar admission
Minimum of 3 years of compliance experience supporting macro or trading businesses at a hedge fund, asset manager, or broker-dealer
Demonstrated experience overseeing compliance for macro products, including interest rate swaps, sovereign bonds, foreign exchange, credit, asset-backed securities, commodities, and derivatives
Practical experience analyzing laws and regulations related to commodity interests and securities, including SEC Rule 10b-5, CFTC Rule 180.1, and the analysis of potential MNPI
Proven experience designing and operating trade surveillance, pre-trade controls, and post-trade investigative workflows
Proven ability to lead cross-functional projects and engage senior stakeholders under time pressure
Strong written and verbal communication skills with strong judgment and the ability to explain complex legal and compliance concepts to non-legal audiences
Excellent analytical skills, attention to detail, and the ability to operate independently and manage multiple priorities simultaneously in a fast-paced environment
Commitment to the highest ethical standards
We take care of our people
We invest in our people, their careers, their health, and their well-being. When you work here, we provide:
Fully-paid health care benefits
Generous parental and family leave policies
Volunteer opportunities
Support for employee-led affinity groups representing women, people of color and the LGBT+ community
Mental and physical wellness programs
Tuition assistance
A 401(k) savings program with an employer match and more
About Point72
Point72 is a leading global alternative investment firm led by Steven A. Cohen. Building on more than 30 years of investing experience, Point72 seeks to deliver superior returns for its investors through fundamental and systematic investing strategies across asset classes and geographies. We aim to attract and retain the industry's brightest talent by cultivating an investor-led culture and committing to our people's long-term growth. For more information, visit https://point72.com/.
The annual base salary range for this role is $125,000-$175,000 (USD) , which does not include discretionary bonus compensation or our comprehensive benefits package. Actual compensation offered to the successful candidate may vary from posted hiring range based upon geographic location, work experience, education, and/or skill level, among other things.
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A Career with Point72's Compliance Team
\n
The Point72 Compliance department is an industry-leading team of compliance professionals who support global investment and trading activities by establishing and enforcing the firm’s compliance policies, providing real-time advice, and conducting pre- and post-trade surveillance. Our team is essential to Point72’s success and we provide mentorship, a growth path, and the opportunity for a long-term career with us.
What you’ll do
\n
Provide advice and guidance to the Global Macro business covering rates, foreign exchange, emerging markets, credit, asset-backed securities, and macro derivatives strategies
Partner with macro portfolio managers and trading teams to embed and enforce practical, real-time compliance controls
Support pre-trade and post-trade monitoring programs and investigative processes to detect and resolve trading, market conduct, and policy breaches
Assist with diligence reviews and the approvals process for new products, markets, brokers, and counterparties, driving timely decisions and clear documentation
Conduct complex compliance reviews and investigations, produce concise findings and remediation plans, and manage escalations to senior compliance leaders
Manage cross-functional coordination with legal, risk, operations, finance, technology, and third-party vendors to implement and enhance compliance solutions
Assist with regulatory readiness efforts and contribute to responses to regulatory inquiries or examinations related to macro trading activities
Monitor global regulatory developments affecting macro markets and translate those changes into actionable policy updates and process improvements
Conduct new-hire and annual macro-based compliance training for macro teams to translate regulatory and firm requirements into day-to-day practices
Chaperone calls and meetings between macro investment professionals and third parties
Collaborate with macro management and colleagues across the firm to support oversight and Compliance initiatives
Serve as a subject-matter expert to both the broader Compliance team and investment professionals regarding adherence to firm policies and procedures
What’s required
\n
Juris Doctorate degree from an accredited law school and bar admission
Minimum of 3 years of compliance experience supporting macro or trading businesses at a hedge fund, asset manager, or broker-dealer
Demonstrated experience overseeing compliance for macro products, including interest rate swaps, sovereign bonds, foreign exchange, credit, asset-backed securities, commodities, and derivatives
Practical experience analyzing laws and regulations related to commodity interests and securities, including SEC Rule 10b-5, CFTC Rule 180.1, and the analysis of potential MNPI
Proven experience designing and operating trade surveillance, pre-trade controls, and post-trade investigative workflows
Proven ability to lead cross-functional projects and engage senior stakeholders under time pressure
Strong written and verbal communication skills with strong judgment and the ability to explain complex legal and compliance concepts to non-legal audiences
Excellent analytical skills, attention to detail, and the ability to operate independently and manage multiple priorities simultaneously in a fast-paced environment
Commitment to the highest ethical standards
We take care of our people
\n
We invest in our people, their careers, their health, and their well-being. When you work here, we provide:
Fully-paid health care benefits
Generous parental and family leave policies
Volunteer opportunities
Support for employee-led affinity groups representing women, people of color and the LGBT+ community
Mental and physical wellness programs
Tuition assistance
A 401(k) savings program with an employer match and more
About Point72
\n
Point72 is a leading global alternative investment firm led by Steven A. Cohen. Building on more than 30 years of investing experience, Point72 seeks to deliver superior returns for its investors through fundamental and systematic investing strategies across asset classes and geographies. We aim to attract and retain the industry's brightest talent by cultivating an investor-led culture and committing to our people's long-term growth. For more information, visit https://point72.com/.
The annual base salary range for this role is $125,000-$175,000 (USD) , which does not include discretionary bonus compensation or our comprehensive benefits package. Actual compensation offered to the successful candidate may vary from posted hiring range based upon geographic location, work experience, education, and/or skill level, among other things.
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Our team is essential to Point72’s success and we provide mentorship, a growth path, and the opportunity for a long-term career with us.\u003C/p\u003E\u003Cbr\u003E\u003Ch3\u003EWhat you’ll do\u003C/h3\u003E\\n\u003Cul\u003E\u003Cli\u003EProvide advice and guidance to the Global Macro business covering rates, foreign exchange, emerging markets, credit, asset-backed securities, and macro derivatives strategies\u003C/li\u003E\u003Cli\u003EPartner with macro portfolio managers and trading teams to embed and enforce practical, real-time compliance controls\u003C/li\u003E\u003Cli\u003ESupport pre-trade and post-trade monitoring programs and investigative processes to detect and resolve trading, market conduct, and policy breaches\u003C/li\u003E\u003Cli\u003EAssist with diligence reviews and the approvals process for new products, markets, brokers, and counterparties, driving timely decisions and clear documentation\u003C/li\u003E\u003Cli\u003EConduct complex compliance reviews and investigations, produce concise findings and remediation plans, and manage escalations to senior compliance leaders\u003C/li\u003E\u003Cli\u003EManage cross-functional coordination with legal, risk, operations, finance, technology, and third-party vendors to implement and enhance compliance solutions\u003C/li\u003E\u003Cli\u003EAssist with regulatory readiness efforts and contribute to responses to regulatory inquiries or examinations related to macro trading activities\u003C/li\u003E\u003Cli\u003EMonitor global regulatory developments affecting macro markets and translate those changes into actionable policy updates and process improvements\u003C/li\u003E\u003Cli\u003EConduct new-hire and annual macro-based compliance training for macro teams to translate regulatory and firm requirements into day-to-day practices\u003C/li\u003E\u003Cli\u003EChaperone calls and meetings between macro investment professionals and third parties\u003C/li\u003E\u003Cli\u003ECollaborate with macro management and colleagues across the firm to support oversight and Compliance initiatives\u003C/li\u003E\u003Cli\u003EServe as a subject-matter expert to both the broader Compliance team and investment professionals regarding adherence to firm policies and procedures\u003C/li\u003E\u003C/ul\u003E\u003Cbr\u003E\u003Ch3\u003EWhat’s required\u003C/h3\u003E\\n\u003Cul\u003E\u003Cli\u003EJuris Doctorate degree from an accredited law school and bar admission\u003C/li\u003E\u003Cli\u003EMinimum of 3 years of compliance experience supporting macro or trading businesses at a hedge fund, asset manager, or broker-dealer\u003C/li\u003E\u003Cli\u003EDemonstrated experience overseeing compliance for macro products, including interest rate swaps, sovereign bonds, foreign exchange, credit, asset-backed securities, commodities, and derivatives\u003C/li\u003E\u003Cli\u003EPractical experience analyzing laws and regulations related to commodity interests and securities, including SEC Rule 10b-5, CFTC Rule 180.1, and the analysis of potential MNPI\u003C/li\u003E\u003Cli\u003EProven experience designing and operating trade surveillance, pre-trade controls, and post-trade investigative workflows\u003C/li\u003E\u003Cli\u003EProven ability to lead cross-functional projects and engage senior stakeholders under time pressure\u003C/li\u003E\u003Cli\u003EStrong written and verbal communication skills with strong judgment and the ability to explain complex legal and compliance concepts to non-legal audiences\u003C/li\u003E\u003Cli\u003EExcellent analytical skills, attention to detail, and the ability to operate independently and manage multiple priorities simultaneously in a fast-paced environment\u003C/li\u003E\u003Cli\u003ECommitment to the highest ethical standards\u003C/li\u003E\u003C/ul\u003E\u003Cbr\u003E\u003Ch3\u003EWe take care of our people\u003C/h3\u003E\\n\u003Cp\u003EWe invest in our people, their careers, their health, and their well-being. When you work here, we provide:\u003C/p\u003E\u003Cul\u003E\u003Cli\u003EFully-paid health care benefits\u003C/li\u003E\u003Cli\u003EGenerous parental and family leave policies\u003C/li\u003E\u003Cli\u003EVolunteer opportunities\u003C/li\u003E\u003Cli\u003ESupport for employee-led affinity groups representing women, people of color and the LGBT+ community\u003C/li\u003E\u003Cli\u003EMental and physical wellness programs\u003C/li\u003E\u003Cli\u003ETuition assistance\u003C/li\u003E\u003Cli\u003EA 401(k) savings program with an employer match and more\u003C/li\u003E\u003C/ul\u003E\u003Cbr\u003E\u003Ch3\u003EAbout Point72\u003C/h3\u003E\\n\u003Cp\u003EPoint72 is a leading global alternative investment firm led by Steven A. Cohen. Building on more than 30 years of investing experience, Point72 seeks to deliver superior returns for its investors through fundamental and systematic investing strategies across asset classes and geographies. We aim to attract and retain the industry\'s brightest talent by cultivating an investor-led culture and committing to our people\'s long-term growth. For more information, visit https://point72.com/.\u003C/p\u003E\u003Cbr\u003E\u003Cp\u003EThe annual base salary range for this role is $125,000-$175,000 (USD) , which does not include discretionary bonus compensation or our comprehensive benefits package. Actual compensation offered to the successful candidate may vary from posted hiring range based upon geographic location, work experience, education, and/or skill level, among other things.\u003C/p\u003E\u003Cbr\u003E\",\"Japanese_Job_Description_External__c\":\"\u003Cbr\u003E\u003Cbr\u003E\u003Cbr\u003E\",\"Transcript_Optional__c\":false,\"Other_Internal_Recruiter__c\":\"005Vo00000XyVVlIAN\",\"RecordTypeId\":\"012j0000000tcfoAAA\",\"Apply_Now_URL__c\":\"https://boards.greenhouse.io/point72/jobs/8614187002?gh_jid=8614187002\",\"Type__c\":\"Full Time\",\"LastModifiedDate\":\"2026-08-25T15:47:11.000+0000\",\"Location__c\":\"New York, New York\",\"Company__r\":{\"attributes\":{\"type\":\"Account\",\"url\":\"/services/data/v67.0/sobjects/Account/0015b00001nlJvSAAU\"},\"Business__c\":\"Point72\",\"Name\":\"Point72\",\"Id\":\"0015b00001nlJvSAAU\",\"RecordTypeId\":\"012j0000000tIlgAAE\"},\"RecordType\":{\"attributes\":{\"type\":\"RecordType\",\"url\":\"/services/data/v67.0/sobjects/RecordType/012j0000000tcfoAAA\"},\"DeveloperName\":\"Investment_Services\",\"Name\":\"Investment Services\",\"Id\":\"012j0000000tcfoAAA\"}},\"friendlyJobName\":\"macro-compliance-associate\",\"formattedTeam\":\"Compliance\",\"formattedLocation\":\"New York | Stamford | West Palm Beach / Miami\",\"formattedArea\":\"Legal & Compliance\"}');