.Company DescriptionNatixis in Portugal is a Centre of Expertise whose mission is to transform traditional banking by developing innovative solutions for the business, operations and work culture of Groupe BPCE worldwide.Natixis in Portugal is part of the Global Financial Services division, where it applies technology for the development of financial expertise in its two global business lines – Corporate & Investment Banking and Asset & Wealth Management – and, transversally, for the entities of Groupe BPCE.The Centre of Expertise, based in Porto, currently has more than 2,400 employees from over 30 nationalities, organised in three main departments: Information Technology, Banking Support Activities and Compliance. These teams work in an integrated, inclusive and transversal way, supporting and creating value for all the business lines and platforms of the group. The project in Porto is one of the biggest investments in Human Resources ever made by Groupe BPCE worldwide.A disruptive mindset and a culture of proximity and agility identify Natixis in Portugal Team and reflect the company's mission to transform traditional banking at a global scale: a perfect match in the Portuguese dynamics and entrepreneurial ecosystem.In 2024, Top Employers Institute has awarded Natixis in Portugal the Top Employer Portugal accreditation for the second time. This certification recognizes excellence in people practices, following the example of our head office, in France, who was certified Top Employer France for the eight year in a row.Job DescriptionResponsibilities:Maintain an effective trading compliance program through risk management, monitoring and surveillance of trading activities.Review and analyze exception reports relating to order/transaction/market information.Reviews manipulation (e.G. marking the open and close, wash, insider dealing etc.) as well as quality of markets (e.G. best execution, limit order display, locked/crossed markets, trading ahead, short sales, etc.)Taking part in strategic and/or regulatory projects, process improvements, policy writing and driving the compliance agenda.Monitoring and testing the effectiveness of policies, procedures, and internal controls which are designed to assess the company's compliance with applicable regulatory requirements.Responding to any business queries that are related to regulatory or policy matters with accurate and value advice.Maintain a high level of awareness of compliance related changes and developments in the securities industry through review of publications, seminars, employee training, etc.Other duties and projects as may be assigned.QualificationsFinance, Management, Law or similar degree.1 - 3 year of experience in Financial markets / Financial Markets Surveillance within a broad range of markets and wholesale banking products - like Fixed Income & Currency (FIC), Foreign Exchange (FX) and Commodities (will be a plus)