Deputy Chief Compliance Officer
$120k - $170kStoneX
Overview Connecting clients to markets – and talent to opportunity.With 5,400+ employees and over 80,000 institutional, commercial, and payments clients, we operate from more than 80 offices spread across six continents. As a Fortune 100, Nasdaq-listed provider, we connect clients to the global markets – focusing on innovation, human connection, and providing world-class products and services to all types of investors.Whether you want to forge a career connecting our retail clients to potential trading opportunities, or ingrain yourself in the world of institutional investing, StoneX Group is made up of four business segments that offer endless potential for progression and growth. Institutional: Immerse yourself in the best-in-class institutional-grade technology, working alongside industry experts and gaining exposure to various asset classes, such as equities, options, fixed income securities, and advanced trading, research, and management technology. Responsibilities The Deputy Chief Compliance Officer reports directly to the Chief Compliance Officer and supports the retail business lines of StoneX Wealth Management. This role is responsible for assisting in the design, implementation, and oversight of compliance programs across both broker-dealer and investment advisory operations. The ideal candidate will possess strong communication and writing skills, advanced analytical capabilities, and significant experience using Microsoft Excel for data management and regulatory reporting. The role requires the ability to manage multiple priorities in a fast-paced, highly regulated environment.Responsibilities Provide guidance to employees on compliance with the Code of Ethics (COE), Written Supervisory Procedures (WSPs), and applicable regulatory requirementsAssist the CCO in coordinating and executing annual compliance reviews, including FINRA Rule 3120 and Advisers Act Rule 206(4)-7 reviewsPerform recurring compliance monitoring and reporting functions, including review of surveillance reports, exception reporting, and supervisory controlsReview supervisory activities related to advisory programs to ensure adherence to internal policies and regulatory standardsAssist in drafting, reviewing, and maintaining regulatory disclosures, including Form CRS and Form ADV (Part 2 and Part 3)Prepare and file regulatory submissions for RIA entities and affiliated firms, including Forms ADV (1A), ADV-E, 13F, NP-X, 13H, and other required filingsReview and approve marketing materials and internal communications for regulatory compliance, as neededConduct regulatory research and assist in preparing responses to regulatory inquiries, audits, and examinationsAssess and evaluate daily operations and implement automation where appropriate to streamline operating functions. Collaborate with cross functional compliance, AML and supervision teams to support daily initiativesSupervise staff that supports both investment advisory and broker dealer compliance initiativesPerform additional duties as required to support the compliance function and broader business needs Qualifications Bachelor’s degree or equivalent industry experience requiredFINRA Series 7 and Series 24, Series 65 or 66 required;Minimum of 5 years of compliance or related financial services experience preferredStrong knowledge of broker-dealer and investment adviser operations, including:Trading and custody processesAccount onboarding and maintenanceBilling and performance reporting systemsWorking knowledge of the Investment Advisers Act of 1940 and related rulesAbility to interpret and apply regulatory requirements to business practices and assist in developing compliant policies and proceduresStrong analytical, problem-solving, and organizational skillsExcellent written and verbal communication skillsAdvanced proficiency in Microsoft Excel (Access or other data tools a plus)Demonstrated ability to manage multiple priorities and meet deadlinesProven ability to build effective working relationships across business linesLeadership skills with the ability to delegate, guide, and mentor others in a professional and ethical mannerHiring Salary Range $120,000 - $170,000 (Salary to be determined by the education, experience, knowledge, skills and abilities of the applicant, internal equity and alignment with market data.) Subject to business performance and recommendations of management, this role may be eligible to participate in an incentive compensation plan. This compensation package, in addition to a full range of medical, financial, and/or other benefits, dependent on the position, is offered. #TA-LI1Job SummaryCategory (Portal Searching): CompliancePosition Type (Portal Searching): Experienced ProfessionalSalary Range: 150-175K
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...application due to a disability, contact this employer to ask for an accommodation or an alternative application process. Chief Compliance Officer Regular Full-Time Compliance 220 Liberty St, Warsaw, NY, US Salary Range: $160,000.00 To $210,000.00 Annually Purpose As...Full timeTemporary workInterim roleFlexible hoursWeekend workAfternoon shift- The Head of Compliance for Energy and Commodities Business and Chief Compliance Officer FCM role is a critical leadership position within Cantor Fitzgerald Securities. You will be responsible for overseeing compliance across the firm's Energy and Commodities Brokerage business...
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Select how often (in days) to receive an alert: Senior Principal Consultant, (Chief Compliance Officer) Date: Sep 8, 2026 Company: ACA Group Location: Flexible, can be US remote The individual in this position is responsible for participating in mock regulatory examinations...Summer workWork at officeRemote workFlexible hours- A global investment manager is seeking a Senior Vice President for Legal and Compliance, responsible for providing legal support for their U.S. broker-dealer. The ideal candidate will have a Juris Doctor and over seven years of experience in a top-tier law firm or asset...
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...traders, banks, hedge funds and asset managers. With more than 40 offices worldwide, the group has over 2,300 employees across Europe,... ..., and analytics. In the ever-evolving financial landscape, Compliance has become increasingly complex. Marex must navigate a wide...Full timeWorldwide$270k - $335k
....Where you’ll workThis role will be based in our New York City office.We are a hybrid environment that combines the energy and connections... ...supervisory requests, coordination of responses across Legal, Compliance, Risk, and business teams, and disciplined tracking of findings...Work at officeRemote workWork from home$175k - $185k
...in more than 260 markets globally with offices throughout North America, Europe, South... ....JOB DESCRIPTION SUMMARYThe Director of Compliance supports and helps administer the compliance... ...team and reporting directly to the Chief Compliance Officer, this role partners closely...Full timeWork at officeLocal areaImmediate start$300k
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...enterprises, hedge funds, PE firms, credit investors, and venture capital firms. We're growing fast, and this is the first dedicated compliance hire at Qualitate. The Role You'll own compliance from day one: scaling the systems, controls, and training that allow...Full timeContract workFlexible hours- ...offering across North America, and we are looking for a Lead Compliance Manager to provide senior compliance leadership and... ...Canada.Key responsibilitiesIn this role, you will serve as the Chief Compliance Officer (CCO) for the U.S. broker-dealer entity, holding ultimate...
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Overview Matchmaker for top Legal, Risk & Compliance, Finance, and Operations talent for the world’s most innovative FinTechs. Think of me as the cupid of… Head of Compliance Base pay range $180,000.00/yr - $200,000.00/yr About the Company We are a leading global cross...Full timeWorldwide
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