Compliance Analyst II

StoneX GroupChicago, IL
Hybrid

About The Position

The Compliance Analyst II supports the firm’s employee and Introducing Broker (IB) compliance programs by administering applicable regulatory and internal compliance requirements. This role is responsible for ensuring accurate registration, recordkeeping, oversight, and ongoing monitoring in accordance with rules and requirements issued by regulatory bodies including the CFTC, NFA, and various exchanges, as well as firm policies and procedures. The Compliance Analyst II serves as a key point of contact for employees and Introducing Brokers, provides day‑to‑day compliance guidance, supports audits and examinations, and assists with investigative, monitoring, and control‑enhancement activities to maintain a strong and effective compliance framework.

Requirements

  • Bachelor’s Degree required.
  • 3–5 years of experience in a compliance, regulatory, or supervisory role within a financial services environment, preferably involving employee compliance and/or Introducing Broker (IB) oversight.
  • Working knowledge of and proven ability to interpret market rules and regulatory requirements issued by the CFTC, NFA, and various exchanges.
  • Experience administering or supporting employee compliance programs, including personal trading account monitoring, training requirements, and policy adherence.
  • Strong attention to detail with demonstrated ability to maintain accurate records, perform quality checks, and ensure regulatory readiness.
  • Demonstrated ability to conduct and document ad hoc investigations, identify potential compliance issues, and escalate matters appropriately.
  • Strong organizational and time‑management skills, with the ability to manage multiple priorities.
  • Effective written and verbal communication skills, with the confidence to engage directly with internal and external stakeholders.
  • Proficiency with compliance systems, databases, and Microsoft Office applications (Excel, Word, Outlook).

Nice To Haves

  • A major in Finance, Business, Legal Studies, or a related field preferred.
  • Hands‑on experience with NFA registration and promotional material review processes preferred.
  • Experience supporting regulatory examinations, internal audits, and responding to information requests from regulators or internal stakeholders preferred.
  • experience with compliance or registration platforms preferred.

Responsibilities

  • Administer employee and Introducing Broker (IB) compliance programs in accordance with applicable regulatory requirements and internal policies.
  • Ensure proper, accurate, and timely registration of employees and Introducing Brokers with the NFA, including ongoing updates, amendments, and renewals.
  • Review, document, and manage IB audits, including follow-up on findings and coordination with internal stakeholders to address deficiencies.
  • Support the IB onboarding process by tracking new IB account openings, ensuring proper registration and executed agreements, and coordinating information flow across applicable Compliance functions.
  • Manage routine compliance training programs by administering module rollouts, tracking completion metrics, maintaining required documentation, and supporting enforcement of training obligations.
  • Review, approve, and maintain promotional and marketing materials to ensure compliance with regulatory requirements and firm guidelines.
  • Oversee brokers’ personal trading accounts by reviewing activity, maintaining required documentation, and ensuring compliance with regulatory rules and firm policies.
  • Serve as a primary point of contact for employees and Introducing Brokers.
  • Support ongoing monitoring, testing, and enhancement of compliance controls related to employee and IB activities.
  • Assist with regulatory examinations, audits, and ad hoc projects assigned.

Benefits

  • full range of medical, financial, and/or other benefits, dependent on the position
  • eligible to participate in an incentive compensation plan
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