Compliance Officer
Madison-DavisChicago, IL
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Overview
Remote
On-site
Job Description
The OpportunityA global financial-services firm is seeking a Market Surveillance Compliance Officer to support its U.S. Broker-dealer and futures businesses. The position will focus on identifying potentially problematic activity through trade, electronic communications, and voice surveillance across a broad range of financial products and trading venues.This is a hands-on surveillance role offering exposure to equities, fixed income, commodities, futures, options, swaps, and other derivatives, as well as opportunities to contribute to broader compliance initiatives.What You ll Do
- Review and investigate alerts generated through trade, electronic communications, and voice surveillance systems.
- Analyze trading activity and communications to determine whether alerts represent legitimate concerns or can be reasonably closed.
- Document alert dispositions clearly, including the analysis and rationale supporting each conclusion.
- Request additional information from traders, clients, or other stakeholders when necessary to complete an investigation.
- Escalate potentially suspicious or problematic activity to Compliance leadership with appropriate supporting evidence.
- Follow through on escalated matters and outstanding surveillance issues through resolution.
- Prepare surveillance reporting and metrics covering areas such as business line, trading desk, alert type, trader, client, and review period.
- Partner with Compliance and front-office teams to provide surveillance-related guidance and context around trading activity.
- Support the ongoing development and enhancement of the firm's surveillance framework.
- Test trade and order data to confirm that information flowing from order and execution management systems into surveillance platforms is accurate and complete.
- Participate in the calibration and effectiveness testing of existing and newly implemented surveillance scenarios.
- Conduct and document user acceptance testing (UAT) for new or modified surveillance rules and scenarios.
- Identify opportunities to improve alert quality, increase detection of meaningful activity, and reduce unnecessary false-positive volume without weakening surveillance coverage.
- Assist with evaluating potential surveillance gaps and improving the overall effectiveness of monitoring controls.
- Support compliance with applicable U.S. Securities, derivatives, and futures regulatory requirements, including those administered by the SEC, FINRA, CFTC, NFA, and relevant exchanges.
- Stay current on regulatory developments, enforcement activity, market events, and emerging surveillance risks.
- Follow established compliance, operational-risk, and internal-control requirements.
- Promptly identify and escalate potential policy violations, control failures, or other risk events.
- Contribute to broader compliance and risk-management initiatives as needed.
- Previous trade or communications surveillance experience within financial markets.
- Strong understanding of financial products, trading activity, market structure, and the mechanics of financial markets.
- Experience operating within a regulated broker-dealer, futures, trading, banking, or comparable financial-services environment.
- Ability to analyze and interpret trading and surveillance data and reach well-supported conclusions.
- Strong investigative instincts and the ability to distinguish meaningful activity from false positives.
- Excellent written communication skills, particularly when documenting investigations and escalation decisions.
- Ability to manage multiple alert queues, investigations, and projects in a fast-paced environment.
- Strong interpersonal skills and confidence communicating with traders, Compliance professionals, management, and other stakeholders.
- Proficiency with Excel and other standard Microsoft Office applications.
- Comfort using emerging technology and AI-enabled tools while independently validating outputs and maintaining appropriate compliance and control standards.
- Bachelor's degree in Finance, Economics, Business, or a related discipline.
- Experience covering multiple asset classes, particularly equities, fixed income, commodities, futures, options, and swaps.
- Familiarity with both broker-dealer and FCM regulatory environments.
- Experience with surveillance scenario calibration, data validation, UAT, or surveillance-system enhancements.
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FAQs About Compliance Officer Jobs at Madison-Davis
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This job at Madison-Davis is located in Chicago, IL, according to the details provided by the employer. Some roles may also include multiple work locations depending on the requirement.
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