Analyste Conformité Abus de Marché H/F/X - Job Opportunity at Société Générale

La Défense, France
Contract
Mid-level
Posted: August 21, 2025
Hybrid
EUR 45,000 - 55,000 annually based on mid-level compliance roles in La Défense financial district, with potential for performance bonuses and profit-sharing bringing total compensation to EUR 50,000 - 65,000

Benefits

Preferential banking rates providing significant cost savings on financial services
Performance-based variable compensation with profit-sharing opportunities enhancing total compensation package
Monetizable time savings account offering flexible time-off conversion options
Digital meal vouchers for remote work days ensuring meal support regardless of work location
Generous paid time off with 26-28 vacation days plus 14-18 RTT days providing superior work-life balance
Comprehensive employee committee benefits including event tickets, vacation subsidies, childcare support, and holiday bonuses
Competitive corporate dining options and cafeterias with subsidized pricing

Key Responsibilities

Lead comprehensive market abuse alert analysis driving regulatory compliance and risk mitigation across trading operations
Execute sophisticated insider trading and market manipulation detection protocols ensuring institutional protection from regulatory penalties
Manage high-stakes AMF regulatory communications and investigations requiring strategic coordination with multiple stakeholders
Deliver critical suspicious activity reporting that directly impacts the bank's regulatory standing and reputation
Orchestrate complex information gathering processes across business units to meet stringent regulatory deadlines
Drive compliance process optimization through rigorous documentation and procedural adherence

Requirements

Education

Master 2 (Bac +5)

Experience

At least 2 years of banking experience in legal or financial domains

Required Skills

Knowledge of market abuse regulations Strong interpersonal skills and teamwork abilities Rigorous and reliable work approach High degree of autonomy Tenacity and resilience in high-pressure environments Natural intellectual curiosity
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Sauge AI Market Intelligence

Industry Trends

Financial services compliance is experiencing unprecedented regulatory scrutiny following global market volatility, with European banks facing stricter enforcement of MiFID II and Market Abuse Regulation (MAR) requirements. This has created sustained demand for specialized compliance professionals who can navigate complex regulatory frameworks. Digital transformation in banking surveillance is driving the need for analysts who can work with sophisticated detection algorithms and automated alert systems, requiring both technical acumen and regulatory expertise to interpret machine-generated findings. Post-Brexit regulatory landscape has increased the importance of AMF relationships for international banks operating in France, making expertise in French regulatory communication and investigation management highly valuable in the current market.

Role Significance

Typically part of a 8-12 person compliance team within the broader risk management division, with direct collaboration across trading, legal, and senior management functions, requiring strong cross-functional communication and coordination skills
This represents a specialist mid-level position with significant autonomous decision-making authority in regulatory matters, requiring direct interface with external regulators and internal senior management, positioning the holder as a key compliance expert within the organization

Key Projects

Implementation of enhanced market abuse detection systems and calibration of alert parameters to reduce false positives while maintaining regulatory effectiveness Development of streamlined AMF response protocols and documentation standards to improve regulatory relationship management and response quality Cross-training initiatives with trading and sales teams to improve front-office awareness of market abuse risks and early detection capabilities

Success Factors

Deep regulatory expertise combined with practical investigation skills enabling effective analysis of complex trading patterns and identification of genuine compliance concerns versus legitimate business activities Strong stakeholder management capabilities essential for coordinating information gathering across resistant business units while maintaining productive relationships with external regulators during high-pressure investigations Analytical precision and attention to detail crucial for building defensible compliance cases that can withstand regulatory scrutiny while protecting the institution from both regulatory penalties and reputational damage

Market Demand

High demand driven by continuous regulatory evolution and banks' need to maintain robust compliance infrastructure, with particular premium on candidates combining regulatory knowledge with investigation management experience

Important Skills

Critical Skills

Regulatory knowledge forms the foundation of this role, as understanding the nuances of European market abuse regulations, particularly French implementation of MAR, is essential for effective analysis and investigation of potential violations. This expertise directly impacts the bank's regulatory standing and potential penalty exposure. Investigation and analytical skills are paramount for distinguishing between legitimate trading activities and potential market abuse, requiring the ability to analyze complex trading patterns, communications, and market data to build defensible compliance cases that can withstand regulatory scrutiny. Communication and stakeholder management capabilities are essential for coordinating information gathering across multiple business units while maintaining productive relationships with external regulators during sensitive investigations that may have significant business implications.

Beneficial Skills

Technology proficiency in compliance systems and data analysis tools would enhance effectiveness in managing large volumes of alerts and complex investigations, as the compliance function becomes increasingly dependent on sophisticated detection and case management systems Cross-functional business knowledge in trading, sales, and investment banking operations would provide valuable context for understanding the business rationale behind trading decisions and identifying genuinely suspicious activities versus normal market-making and client service activities

Unique Aspects

Direct interface with AMF (Autorité des Marchés Financiers) providing rare hands-on experience with French regulatory investigation processes and relationship management that is highly valued in the European compliance job market
Exposure to sophisticated market abuse detection technology and alert systems at a major international bank, offering cutting-edge experience with compliance technology that enhances marketability across the financial services sector
Opportunity to work on high-profile market abuse cases that may have significant market impact, providing experience with complex investigations that few compliance professionals encounter in their careers

Career Growth

Typically 3-4 years to senior compliance roles, with accelerated progression possible for high performers demonstrating expertise in complex investigations and regulatory relationship management

Potential Next Roles

Senior Compliance Manager overseeing broader compliance programs Regulatory Affairs Director managing external regulator relationships Risk Management positions in trading surveillance or operational risk

Company Overview

Société Générale

Société Générale stands as one of Europe's leading universal banks with significant global presence, known for its comprehensive corporate and investment banking services alongside retail banking operations. The institution has demonstrated resilience through various market cycles and maintains a strong commitment to digital transformation and sustainable finance initiatives.

Ranked among the top-tier European banking institutions with substantial market capitalization and global recognition, maintaining strong credit ratings and regulatory compliance standards that position it as a preferred employer for compliance professionals seeking stable, long-term career development
The La Défense location represents the heart of European financial services, providing exposure to international markets and cross-border regulatory requirements while maintaining strong connections to French regulatory authorities and European banking networks
Corporate environment emphasizing professional development, diversity, and sustainable business practices, with structured career progression paths and comprehensive benefits packages reflecting the institution's commitment to employee retention and development
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