Volant Securities, LLC, a technology-driven clearing and executing broker dealer, is looking for a compliance officer to join its small, but growing team. This is an opportunity to work for a fintech start-up and to be an integral part of growing a broker-dealer from the ground up. As a small, hardworking team, we pride ourselves on our entrepreneurial culture and cross team collaboration.


  • Assist in directing the firm regulatory priorities and compliance program
  • Conduct comprehensive internal compliance reviews
  • Conduct surveillance reviews of client trading
  • Respond to regulatory inquiries and audits
  • Draft and update: WSPs, AML, BCP
  • Design and administer periodic regulatory training
  • Maintain WebCRD filings
  • External communication with SROs, regulatory bodies, auditors
  • Internal communication and support for operation and development staff
  • Actively monitor regulatory developments
  • Research exchange rules, analyze rule interpretations


  • Experience working in compliance at a clearing firm or regulator
  • Proactive, self-starter -- able to work well under pressure
  • Effective communicator -- able to interact well with different teams and personalities
  • Exceptional writing skills
  • Experience with regulatory surveillance
  • Experience with AML
  • Background working in or subject to rules of:  DTC, OCC, SEC, FINRA
  • Series 7 and 63 (within the first 2 months of joining)
  • 3+ years related experience

Helpful, but not required

  • T-SQL + .NET(C#) + Microsoft Azure Stack
  • Series 24

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