
Susquehanna is looking for a Compliance Coordinator to support core areas of our regulatory and policy framework including trader licensing and registration, the administration of our personal trading policy, and other responsibilities. This role is central to keeping our compliance operations running smoothly and ensuring our employees remain informed, registered, and in good standing. This is a great fit for someone who thrives in a structured environment, takes ownership of detail-oriented processes, and understands the importance of confidentiality in a financial services setting.
What You’ll Do
Licensing & Registration
Personal Trading Policy Administration
About Susquehanna
Susquehanna is a global quantitative trading firm powered by scientific rigor, curiosity, and innovation. Our culture is intellectually driven and highly collaborative, bringing together researchers, engineers, and traders to design and deploy impactful strategies in our systematic trading environment. To meet the unique challenges of global markets, Susquehanna applies machine learning and advanced quantitative research to vast datasets in order to uncover actionable insights and build effective strategies. By uniting deep market expertise with cutting-edge technology, we excel in solving complex problems and pushing boundaries together.
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At Susquehanna, we approach quantitative finance with a deep commitment to scientific rigor and innovation. Our research leverages vast and diverse datasets, applying cutting-edge machine learning to uncover actionable insights and driving data-informed decisions from predictive modeling to strategic execution.
Today, Susquehanna has over 3,200 employees in 17+ global locations. While we have grown in size and expanded our reach, our collaborative culture and love for gaming remains.