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Sr. Director of Compliance, Futures Commission Merchant (FCM)

180k – 230kChicago, ILCaliforniaColoradoFloridaHybrid8+ YOE
Summary

Leads FCM compliance program as CCO deputy, overseeing governance, monitoring, regulatory engagement with CFTC/NFA, and scaling automated infrastructure for futures/swaps. Requires 8-12 years futures compliance experience and deep knowledge of CFTC, NFA, exchange rules.

About the role

Responsibilities

  • Partner with the CCO in overseeing the Firm’s compliance program for futures, options on futures, and cleared swaps activities conducted as an FCM
  • Maintain and enhance written supervisory procedures, compliance policies, and supporting control documentation governing customer protection, supervision, complaint handling, and other applicable regulatory requirements
  • Translate regulatory obligations into practical supervisory controls, clear ownership, and evidence standards
  • Design and evolve a data-driven compliance monitoring and testing program, leveraging automation, workflow tools, analytics, and regtech solutions to increase coverage and reduce manual lift
  • Identify opportunities to eliminate manual dependencies and systematize, automate, and embed compliance controls within trading, clearing, finance, and customer workflows
  • Lead regulatory change management efforts, including assessment of CFTC, NFA, and exchange rule developments, impact analysis, and implementation across business units
  • Lead day-to-day regulatory engagement activities, including coordination of NFA examinations, CFTC inquiries, and exchange reviews, and preparation of materials for CCO review and approval
  • Provide second-line oversight support with respect to financial responsibility requirements, including customer funds segregation, secured amount calculations, and net capital compliance, in coordination with Finance and Operations
  • Advise senior management and business stakeholders on regulatory obligations affecting trading conduct, clearing operations, promotional standards, margin and collateral processes, reporting, supervision, and operational change
  • Support new product launches, operational enhancements, automation initiatives, and technology deployments through structured compliance-by-design assessments
  • Manage and mentor members of the compliance staff while fostering a culture of continuous improvement
  • Prepare compliance reporting and governance materials for senior management and assist in drafting the Annual CCO Report and other key program deliverables
  • Identify emerging regulatory risks, control gaps, or scalability constraints and escalate material matters to the CCO in a timely and well-supported manner
  • Serve as the CCO’s designated alternate consistent with delegated authority, including providing coverage in key meetings, regulatory interactions, and internal governance forums as needed

Requirements

  • 8–12 years of futures compliance experience, including substantial experience within or directly supporting an FCM
  • Strong working knowledge of CFTC regulations applicable to FCMs
  • Strong working knowledge of NFA Compliance Rules and Interpretive Notices
  • Strong working knowledge of exchange rulebooks (e.g., CME Group)
  • Strong working knowledge of customer protection and financial responsibility frameworks (segregation, secured amount, net capital)
  • Demonstrated experience leading or materially supporting regulatory examinations, inquiries, and remediation programs
  • Ability to design, implement, and scale supervisory controls, governance processes, and compliance infrastructure
  • Strong judgment, clear communication, and the ability to influence cross-functional stakeholders

Nice-to-Haves

  • Series 3 preferred
  • Experience in a growth environment where compliance infrastructure is being scaled

Compensation

  • Salary range: $180,000 - $230,000 USD
  • Annual target bonus: 15% (50% individual performance, 50% company/team performance)
  • 401k with 3.5% company match
  • 23 days PTO + 7 paid holidays
Skills
CFTC regulationsNFA Compliance RulesCME Group rulesFCM complianceregulatory examinationssupervisory controlscompliance monitoringregtechautomationfinancial responsibilitycustomer funds segregationnet capital complianceSeries 3
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