The Compliance Officer is responsible for managing Topstep's core compliance program, ensuring adherence to applicable laws, regulations, and internal policies governing its proprietary trading evaluation platform and broader fintech operations. Reporting to the Chief Compliance Officer and sitting within Compliance, this role provides leadership on firm and regulatory compliance, risk mitigation, and internal controls, with a particular focus on anti-money laundering (“AML”), know-your-customer (“KYC”), NFA and CFTC compliance, fraud prevention, payment processing compliance, and compliance with FTC regulations and consumer protection standards. This position will also collaborate closely with the compliance officer of Topstep's regulated affiliate to implement continuity and compliance across all verticals. This is an excellent opportunity for a candidate with strong regulatory acumen and hands-on experience designing, drafting, and owning compliance programs, policies, and procedures within a fintech or trading environment, with responsibility for overseeing implementation and ongoing adherence across a large, multi-faceted organization. Candidates with CAMS training or certification, or hands-on AML program ownership aligned to CAMS principles, are especially encouraged to apply.
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Job Type
Full-time
Career Level
Mid Level