Compliance Officer
EdgeClear
About the Company EdgeClear ’s objective is to simplify access to financial markets through outstanding brokerage technology, services and solutions. We are an experienced team of industry professionals who share both a passion for trading and a deep understanding of its complexities. Our approach combines advanced technology, high-touch service, and disciplined risk management. Everything we build is Trader-Inspired. About the Role We are seeking an experienced Compliance Officer to lead and manage EdgeClear’s compliance program across our brokerage and fintech operations. This role is responsible for ensuring adherence to applicable regulatory frameworks while strengthening internal controls, mitigating risk, and supporting the firm’s continued growth. You will work directly with senior leadership and cross-functional teams to design, implement, and oversee compliance policies and procedures across key areas including AML/KYC, NFA and CFTC regulations, payment processing, fraud prevention, and marketing compliance. This is a hands-on leadership role suited for someone who can both think strategically and execute operationally, owning compliance from policy creation through implementation and ongoing oversight. Responsibilities Oversee the development, implementation, and ongoing monitoring of EdgeClear’s compliance program. Maintain and continuously improve AML/KYC policies, including customer onboarding, due diligence, ongoing monitoring, and periodic updates. Ensure compliance with NFA and CFTC rules and regulations; monitor regulatory updates and advise on business impact. Serve as the primary contact for all NFA and CFTC inquiries. Develop, document, and manage compliance policies, procedures, risk assessments, and internal controls. Conduct internal audits, compliance reviews, and risk assessments to evaluate adherence to regulatory and internal standards. Partner with Marketing and Operations to ensure compliance with advertising, disclosures, privacy policies, and customer communications. Investigate potential compliance issues and coordinate escalation and resolution across internal teams and external partners. Support regulatory inquiries, audits, and examinations. Develop and deliver internal compliance training across AML/KYC, regulatory requirements, fraud awareness, and ethics. Maintain accurate and audit-ready compliance documentation and reporting. Collaborate with internal stakeholders to assess compliance risks related to new products, services, and initiatives. Qualifications Bachelor’s degree in legal, business, finance, accounting, or a related field. 2+ years of legal or compliance experience within a brokerage, clearing firm, or any other financial institution. Strong knowledge of AML/KYC requirements, BSA/Patriot Act, OFAC, and consumer protection regulations. Working knowledge of financial regulatory frameworks such as FINRA, NFA, SEC or CFTC. Proven experience building or managing compliance programs, policies, and internal controls. Highly organized and detail-oriented with the ability to manage multiple priorities in a fast-paced environment. Strong analytical, investigative, and problem-solving skills. Excellent written and verbal communication skills, with the ability to translate complex regulatory concepts clearly. Proficiency with compliance tools, CRM systems, and Microsoft/Google workspace environments. Ability to work on-site in Chicago (River North) five days per week. Additional Desired Skills Familiarity with trading platforms, brokerage operations, or financial market infrastructure. Experience working cross-functionally with marketing, operations, and product teams. Pay range and compensation package Competitive compensation, health benefits, and 401(k) with full company match. Equal Opportunity Statement EdgeClear is committed to diversity and inclusivity in the workplace. #J-18808-Ljbffr EdgeClear
$98.18k - $115.5k
...discover what you excel at—all from Day One.Job DescriptionThis position within RSS will serve as support (CCO Support) to Chief Compliance Officers (CCOs) for multiple series trusts containing mutual funds and exchange traded funds employing diverse investment strategies...SuggestedFull timeWork at officeLocal areaRemote workFlexible hours3 days per week- ...for each position which interests you.This position is exempt from Career Service under the CCH Personnel Rules.Job SummaryThe Compliance Officer reflects the mission and vision of Cook County Health (CCH) adheres to the organization’s Code of Conduct and Corporate...SuggestedFull time
$95k - $125k
...services firm founded in 1937. Headquartered in Chicago, with offices around the world, we serve clients through a personal, custom... ...multiple times and is one of Barron’s Top 100 RIA firms.As a Compliance Officer at Mesirow, the role will be responsible for supporting...SuggestedFull timeWork at office3 days per week$165k - $220k
Position InformationHiring Manager:Co-Chief Compliance Officer, Senior CounselDepartment:Legal & ComplianceDepartment OverviewThe Legal & Compliance Department is responsible for managing legal risk and attorney advice for each of the Firm's functions. The Legal & Compliance...SuggestedFull timeContract workTemporary workWork at office- ...financial services company headquartered in Greenwich, CT, USA, with offices in over 15 countries. We have been at the forefront of... ...collaboratively with stakeholders across the Financial Crimes Compliance program and Engineering teams Perform qualitative and quantitative...SuggestedTemporary workWork at officeRemote workFlexible hours
$100k - $140k
...Compliance Officer Chicago, IL Department: Compliance Reports To: Chief Compliance Officer for tastyfx/tastytrade futures Location: Chicago, IL (In-office 3 days/week) Salary: $100,000-$140,000 Licensure: Series 3 and Series 34 strongly preferred....Work at office3 days per week- ...service, and disciplined risk management. Everything we build is Trader-Inspired. About the Role We are seeking an experienced Compliance Officer to lead and manage EdgeClear’s compliance program across our brokerage and fintech operations. This role is responsible for...
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- ...A leading alternative asset manager is seeking an experienced Compliance Officer to join its Legal & Compliance team. This is a broad, substantive compliance role for someone who can evaluate issues, provide practical guidance and independently execute responsibilities...
- ...Mesirow is seeking a Compliance Officer in Chicago to support all aspects of the Compliance Department, including ethics governance, AML/KYC, training, and policy development. This role partners with Legal, Risk, and Business units to ensure robust controls and regulatory...Work at office3 days per week
- ...A leading wealth management firm in Chicago seeks a Senior Compliance Officer to enhance compliance frameworks and governance. The role involves overseeing compliance documents, training staff on regulatory changes, and managing compliance programs. Ideal candidates will...
$71k - $125k
...Atlanta, GA Full time R-38450 Location: 4910 Tiedeman Road, Brooklyn Ohio About the Job The Home Lending Compliance Officer will be a member of the Home Lending Compliance team within Compliance Risk Management. They will provide support to the Mortgage...Full timeWork at officeFlexible hours$80k - $130k
...investment results and shaping a workplace where diverse perspectives and independent thought drive better outcomes for clients. The Compliance Officer will work regularly with the CCO–Fixed Income and other compliance and legal staff in developing and implementing policies...Local areaWorldwideShift work- ...L&G Asset Management in Chicago seeks an experienced Senior Compliance Officer to support investment management compliance across public and private strategies. The role involves monitoring, policy development, and regulatory reporting while collaborating with the broader...
- ...on leading exchanges worldwide. The firm are seeking a trading compliance specialist that will act as a key advisor to the business and manage... ...- offering timely, practical compliance advice to front-office and support functions. Liaise with regulators, exchanges, and...Worldwide
- ...Moody’s, a global leader in ratings and risk assessment, seeks senior experts in financial crime compliance to engage clients and shape strategy across KYC, AML, sanctions, and third-party risk solutions. You will translate complex challenges into actionable recommendations...
$163k - $204k
...companies, through internal and external managers. The Investments Compliance team provides compliance and regulatory support to AIG’s... ...insurance companies and will work closely with the Chief Compliance Officer in the day-to-day execution of the compliance program.Review...Full timeWork at office- ...Broker dealer client is seeking a Senior Compliance Officer to provide real-time compliance advisory support to our Futures Commission Merchant (FCM) business, along with affiliated Introducing Brokers (IBs), Guaranteed Introducing Brokers (GIBs), and Swap Dealers. Responsibilities...
- IG North America is seeking a Compliance Officer for tastyfx/tastytrade futures to help maintain our regulatory standing and support the Chief Compliance Officer. Based in Chicago (in-office 3 days per week), you will monitor CFTC/NFA rules, oversee licensing and registrations...Work at office3 days per week
- ...LIS Solutions is looking for a Junior Compliance Officer to work with the Department of Homeland Security. The position involves data entry, conducting database queries, and supporting I-9 audits. Candidates must have at least an Associate's degree and be detail-oriented...Work at office
$150k
...Fintech Compliance Officer – To $150K – Chicago, IL – Job # 3784-6264 Who We Are The Symicor Group is a boutique talent acquisition firm based in Schaumburg, IL & Rockport, TX. Our nationally unique value proposition centers around providing the very best available...Local area- ...relevant to our clients, can generate value and drive positive change. Job Description We are seeking an experienced Senior Compliance Officer to support the firm’s investment management compliance program with responsibility for compliance monitoring and testing,...Full timeTemporary workLocal areaWorldwideFlexible hours
- A financial services firm in Chicago is seeking an experienced Compliance Officer to oversee and manage compliance across its brokerage and fintech operations. Responsibilities include ensuring adherence to regulatory frameworks, developing compliance policies, and conducting...
- IG North America is seeking a Compliance Officer to support the firm’s compliance program for tastyfx/tastytrade futures in Chicago. You will ensure adherence to CFTC Regulations, NFA rules, and internal policies governing retail forex operations. This role reports to...Work at office
- Marex Group in Chicago, IL, is seeking a Compliance Officer to oversee US broker-dealer and FCM activities, focusing on surveillance, audits and policy implementation to protect Marex’s licenses and reputation. You will monitor transactions, review alerts, coordinate with...
- KeyCorp in Brooklyn, OH is seeking a Compliance Officer to join the Real Estate Lending and Enterprise Default team within Compliance Risk Management. You will research and apply laws, advise lines of business, perform oversight, and mitigate risk to the organization....
$71k - $125k
Location: 4910 Tiedeman Road, Brooklyn Ohio About the Job The Compliance Officer will be a member of the Real Estate Lending and Enterprise Default team within Compliance Risk Management. They will provide support to various lines of business by researching, interpreting...Work at officeFlexible hours- ...as they become available. Subscribe to our RSS feeds to receive instant updates as new positions become available. Junior Compliance Officer - Midwest Region: St. Paul , Chicago, Detroit, Wichita or Topeka KS Text DHSMW to (***) ***-**** to apply by phone Job Title...For contractorsWork at officeLocal area
- Golub Capital seeks a Compliance Officer to lead AML/KYC programs and manage regulatory filings within the Legal & Compliance Department in Chicago. The role requires deep knowledge of securities regulation and experience with risk mitigation and control design. Ideal...
- Golub Capital seeks a Co-Chief Compliance Officer/Senior Counsel to manage the Firm’s compliance program within the Legal & Compliance Department. The role requires deep regulatory knowledge, leadership of complex projects and collaboration with senior management. Prior...
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