Full-Time

MLRO & Deputy Head of Compliance

Posted on 9/14/2026

Market-Securities

Market-Securities

201-500 employees

Global institutional brokerage, market access, liquidity

No salary listed

Dubai - United Arab Emirates

In Person

Bachelor's

Category
Risk & Compliance (1)

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Requirements
  • Senior compliance experience with responsibility for anti-money laundering, counter-terrorist financing, sanctions, and financial crime frameworks.
  • Ability to act as the firm's designated Money Laundering Reporting Officer and principal contact with the Dubai Financial Services Authority, Financial Intelligence Unit, and other authorities.
  • Knowledge of Dubai Financial Services Authority and United Arab Emirates regulatory requirements.
  • Ability to assess complex legal and regulatory issues, interpret legislation, and provide clear advice to senior management and the business.
  • Ability to oversee client risk assessment, customer due diligence, enhanced due diligence, politically exposed person identification, adverse media and sanctions screening, ongoing monitoring, and escalation processes.
  • Ability to review and determine internal suspicious activity reports and submit external reports to the Financial Intelligence Unit through goAML where appropriate.
  • Ability to prepare the Money Laundering Reporting Officer Annual Report, Dubai Financial Services Authority Annual Anti-Money Laundering Return, and periodic anti-money laundering management information.
  • Ability to monitor regulatory and legislative developments in anti-money laundering, counter-terrorist financing, proliferation financing, and sanctions.
  • Ability to design and deliver anti-money laundering and financial crime training and maintain training records.
  • Ability to lead responses to regulatory inspections, thematic reviews, information requests, and financial crime audits.
  • Ability to deputise for the Head of Compliance on day-to-day compliance approvals, committee representation, and Dubai Financial Services Authority contact.
  • Ability to provide independent second review and sign-off on policies, regulatory notifications, applications, variations of permission, and Board papers.
  • Ability to provide regulatory advice on new products and business initiatives and translate applicable laws, rules, and guidance into practical guidance.
  • Ability to review complex contractual, legal, and regulatory matters relevant to regulated activities.
  • Ability to provide guidance on regulatory breaches, incidents, complaints, client onboarding, conduct of business, market conduct, financial promotions, and cross-border activity.
  • Ability to contribute to the Compliance Monitoring Programme and Board and management compliance reporting.
Responsibilities
  • Act as the firm's designated Money Laundering Reporting Officer and principal point of contact with the Dubai Financial Services Authority, Financial Intelligence Unit, and other authorities on anti-money laundering, sanctions, and financial crime matters.
  • Own the anti-money laundering, counter-terrorist financing, sanctions, and financial crime policies, procedures, systems, and controls and ensure they remain effective and compliant with Dubai Financial Services Authority and United Arab Emirates requirements.
  • Maintain financial crime risk assessments at firm, client, and business-line levels, including the Anti-Money Laundering Business Risk Assessment.
  • Oversee client risk assessment, customer due diligence, enhanced due diligence, politically exposed person identification, adverse media and sanctions screening, ongoing monitoring, and related escalation processes.
  • Provide advice and challenge on higher-risk clients, transactions, jurisdictions, and business relationships.
  • Review and determine internal suspicious activity reports and submit external reports to the Financial Intelligence Unit through goAML where appropriate.
  • Prepare the Money Laundering Reporting Officer Annual Report, Dubai Financial Services Authority Annual Anti-Money Laundering Return, and periodic anti-money laundering management information for the Senior Executive Officer, Board, and group Audit Risk Compliance Committee.
  • Monitor regulatory and legislative developments in anti-money laundering, counter-terrorist financing, proliferation financing, and sanctions and implement resulting changes within the firm.
  • Design and deliver anti-money laundering and financial crime training and maintain training records.
  • Lead the firm's response to regulatory inspections, thematic reviews, information requests, and audits relating to financial crime.
  • Work alongside other Money Laundering Reporting Officers within the group and onboarding teams to streamline procedures and client onboardings across the group.
  • Deputise for the Head of Compliance, as required, on day-to-day compliance approvals, committee representation, and Dubai Financial Services Authority contact on compliance matters.
  • Provide independent second review and sign-off on policies, regulatory notifications, applications, variations of permission, and Board papers prepared by the Head of Compliance.
  • Provide regulatory advice to the business on Dubai Financial Services Authority requirements, new products, and business initiatives, interpreting applicable laws, rules, and guidance into practical guidance.
  • Review complex contractual, legal, and regulatory matters relevant to the firm's regulated activities.
  • Provide guidance on regulatory breaches, incidents, and complaints and contribute to compliance oversight of client onboarding, conduct of business, market conduct, financial promotions, and cross-border activity.
  • Contribute to the Compliance Monitoring Programme and Board and management compliance reporting.
Desired Qualifications
  • A legal background, given the requirement to interpret legislation and regulatory requirements, assess complex legal and regulatory issues, and provide clear advice to senior management and the business.
  • French language skills.
  • A law degree or legal qualification.
  • CAMS certification or an equivalent anti-money laundering or compliance qualification.

Market Securities is a global independent financial intermediary that provides institutional clients with market access and liquidity across multiple asset classes, including cash equities, fixed income, FX, equity derivatives, structured products, and commodities. It delivers brokerage services and trade execution through its Market Securities Group and Market Securities, LLC, with deep liquidity pools and low-latency access to exchanges and OTC markets, complemented by in-house research and market commentary. The firm distinguishes itself by being owned by its founding partners and maintaining independence, emphasizing cross-asset trading and price discovery across global centers. Its goal is to help institutional clients execute large and complex trades efficiently while gaining market insight and broad access.

Company Size

201-500

Company Stage

N/A

Total Funding

N/A

Headquarters

N/A

Founded

N/A

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Simplify Jobs

Simplify's Take

What believers are saying

  • September 2026 website claims >$1T traded, signaling meaningful institutional traction.
  • March 2026 market volatility lifted securities-lending revenue 32% year over year.
  • Current London, New York, Dubai, and Hong Kong coverage supports cross-asset client capture.

What critics are saying

  • Mega-brokers like J.P. Morgan and Goldman Sachs compress execution margins through 2026.
  • FINRA and DFSA oversight can force costly controls, disclosures, and account restrictions.
  • If counterparties route flow elsewhere, independent scale becomes existentially uncompetitive by 2027.

What makes Market-Securities unique

  • 2008-founded Market Securities runs eight financial centers and 300+ professionals.
  • Market Securities, LLC stays FINRA-registered since 2016, supporting U.S. institutional access.
  • The firm bundles research, price discovery, and liquidity across cash, derivatives, FX.

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Benefits

Employee Referral Bonus