Compliance Advisor
$101,000–$187,000 year
Hybrid · Chicago, Illinois, United States
Job Summary
The Compliance Advisor will partner with the E&C team to implement a consistent compliance program for a trading/origination product area, delivering accurate, timely advice to the business, monitoring ethical compliance risks, ensuring alignment with Exchange rules and regulatory requirements across jurisdictions, supporting regulatory training, and assisting with changes to the risk-based monitoring program. The role requires building strong relationships within E&C and with business partners, providing advisory oversight on projects, and helping identify and mitigate risks in new activities. Strong knowledge of traded products/markets (oil-related preferred), familiarity with US exchange rules and CFTC reporting, and solid communication, analytical, and training-design abilities are essential.
Required Qualifications
- Relevant university degree or equivalent working experience
- Knowledge and understanding of traded products, markets and strategies (physical and paper)
- Background in oil products and/or trading (strong advantage)
- Demonstrated knowledge of US exchange rules and CFTC regulatory reporting rules
- Experience in designing and conducting compliance monitoring and surveillance activity
- Ability to communicate with integrity and build consensus; strong writing and presentation skills
- Ability to develop and deliver training materials
- Strong problem-solving and analytical skills
- Ability to work in a global, fast-paced environment
- Ability to influence at all organizational levels
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