Chief Compliance Officer - Broker Dealer
Company: Peak6 Investments LLC
Location: Chicago
Posted on: May 3, 2025
Job Description:
Chief Compliance Officer - Broker DealerPEAK6141 W Jackson Blvd.
Suite 500 Chicago, IL 60604We are PEAK6, a leading investment firm,
using technology to find a better way of doing things. The
company's first tech-based solution was developed in 1997 to
optimize options trading. Today, PEAK6 seeks transformational
opportunities to provide capital and strategic support to
entrepreneurs and forward-thinking businesses.ABOUT THIS ROLEWe are
seeking an experienced and highly qualified Chief Compliance
Officer (CCO) to oversee and ensure the compliance of our
broker-dealer operations, particularly in the context of our
Alternative Trading System (ATS). Our successful candidate will be
responsible for guiding the business on all relevant regulatory
requirements, managing compliance programs, and ensuring adherence
to SEC, FINRA, and SRO laws, rules, and regulations.Key
Responsibilities:Compliance Oversight and Guidance
- Provide comprehensive guidance to the business on SEC, FINRA,
and SRO laws, rules, and regulations, with a special emphasis on
broker-dealer rules and regulations, as well as those specific to
alternative trading systems (ATS).
- Stay well-informed about the business and its operations to
offer effective compliance oversight and allocate resources
appropriately as the business evolves.Regulatory Compliance and
Reporting
- Oversee communications with regulatory bodies, including the
SEC, FINRA, and other relevant authorities. Spearhead regulatory
examinations and investigations related to both broker-dealer and
ATS operations.
- Ensure compliance with Regulation ATS, including the filing of
Form ATS, Form ATS Amendments, and quarterly transaction reports on
Form ATS-R. Manage the cessation of operations report when the ATS
ceases operation.Policy and Procedure Management
- Supervise the upkeep of policies and procedures within the
firm's Written Supervisory Procedures (WSPs) and anti-money
laundering (AML) program. Ensure these policies are aligned with
regulatory requirements and best practices.Risk Management and
Audits
- Conduct thorough risk assessments to identify potential
compliance risks and vulnerabilities within the organization.
Develop and implement mitigation strategies to address these
risks.
- Oversee internal and external audits, thoroughly investigate
potential compliance breaches, and coordinate efforts related to
audits, reviews, and examinations.Compliance Program Development
- Develop and maintain comprehensive compliance programs tailored
to the organization's specific needs and risks. This includes
licensing and registration, AML and Know Your Customer (KYC)
policies, data privacy and security measures, and consumer
protection practices.
- Define the necessary level of knowledge on existing and
emerging regulatory compliance requirements across the organization
and develop the annual compliance work plan.Communication and
Training
- Provide guidance, advice, and training to all lines of business
to improve their understanding of related laws and regulatory
requirements. Interact with regulators on compliance issues and
coordinate internal compliance review and monitoring
activities.
- Prepare and present clear and concise compliance reports to the
Board of Directors and executive management.Access and Fairness
Standards
- Ensure the ATS establishes written standards for granting
access to trading on its system, makes and keeps records of all
grants, denials, or limitations of access, and reports this
information as required on Form ATS-R.YOUR EXPERIENCE
- Minimum of 10 years of experience in broker-dealer trading
compliance, with specific experience related to ATS compliance
highly preferred.
- Bachelor's degree in a relevant field.
- FINRA 24 license required.
- Strong interpersonal, oral, and written communication skills.
Ability to provide strategic direction and guidance on complex
regulatory issues.OUR REWARDSWe offer a robust package of employee
perks and benefits, including healthcare benefits (medical, dental
and vision, EAP), competitive PTO, 401k match, parental leave, and
HSA contribution match. We also provide our employees with a paid
subscription to the Calm app and offer generous external learning
and tuition reimbursement benefits. As a hybrid workforce, we offer
our employees the ability to work remotely up to two days a
week.Base pay offered may vary depending on job-related knowledge,
skills, experience, and office location. This position also may be
eligible for a discretionary annual bonus in addition to a range of
health & wellness benefits, enhancing your overall compensation
package.Base Salary Range: $139,600-$174,500PEAK6 is proud to be an
equal opportunity employer that does not discriminate on the basis
of race, color, religion, sex (including pregnancy, sexual
orientation, and gender identity), national origin, age,
disability, veteran status, marital status, or any other protected
characteristic.PEAK6 is committed to creating an inclusive and
accessible workplace for all candidates, including those with
disabilities. We are dedicated to ensuring equal employment
opportunities and providing reasonable accommodations to qualified
individuals with disabilities.
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Keywords: Peak6 Investments LLC, Lombard , Chief Compliance Officer - Broker Dealer, Executive , Chicago, Illinois
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