About the job
QCP Group stands at the forefront of digital asset innovation in Asia, providing unparalleled support to clients seeking to integrate digital assets into their investment portfolios seamlessly.
We deliver a diverse suite of services ranging from on/off-ramping solutions and fixed income strategies to vanilla options and tailored exotic derivatives.
Our mission is to become the most reliable partner in the digital asset landscape, offering cutting-edge solutions that embed digital assets into every investment portfolio, balance sheet, and treasury management strategy.
Founded in 2017, we have recognized the transformative power of digital assets in reshaping financial markets globally. We are strategically positioned to navigate market changes, successfully bridging traditional finance with the crypto ecosystem.
At QCP, we prioritize building trustworthy partnerships, placing our clients' success and well-being at the core of our operations.
The Head of Compliance will play a pivotal role in establishing, executing, and supervising the comprehensive compliance framework for QCP’s U.S. entity, which will primarily act as a distributor for QCP’s offerings.
This position requires serving as a General Securities Principal and will be integral to the U.S. management team, carrying direct accountability for regulatory compliance, supervisory systems, and regulatory interactions with FINRA, SEC, CFTC, and NFA.

