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Director, Compliance Regulatory

Job in Jersey City, Hudson County, New Jersey, 07390, USA
Listing for: moomoo
Full Time position
Listed on 2026-08-04
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Financial Compliance, Financial Crime, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 190000 - 230000 USD Yearly USD 190000.00 230000.00 YEAR
Job Description & How to Apply Below

About Futu US Inc.

Futu US Inc. stands at the forefront of financial services, housing twoSECregistered broker-dealers alongside a cryptocurrency brokerage— all operating under the reputable wing of Futu Holdings Limited (Nasdaq: FUTU).

Our core mission revolves around innovating the investing landscape through a digitized brokerage andwealth management platform that's designed to elevate the investment experience.

Here’s a closer look at our key entities:

  • Futu Clearing Inc.:
    An SEC registered FINRA member dedicated to delivering top-tier clearing and execution services globally.
  • Moomoo Financial Inc.:
    As an SEC registered FINRA member, we provide retail investors access to both U.S. and Asian securities markets, ensuring your investment journey is backed by expertise.
  • Moomoo Technology Inc.:
    Offering a data-rich trading platform, we provide unparalleled insights and tools to enhance your trading strategies. Note that this entity is not a licensed broker-dealer.

For deeper insights into our entities and affiliates, exploreorto discover the future of investing with confidence and innovation.

Office

Location:

Dallas, TX or Jersey City, NJ

This role must be based on the office locations specified in the job description, in line with our in-office work philosophy. Remote work is not available for this position. For more details about our in-office approach and expectations, please reach out to the recruiter.

Primary Responsibilities Regulatory Examinations and Investigations
  • Serve as the primary coordinator and project owner for all regulatory examinations, audits, investigations, and information requests from FINRA, the SEC, state regulators, exchanges, and other governmental agencies.
  • Lead the firm's responses to routine and cause examinations, investigations, cycle examinations, and regulatory inquiries.
  • Coordinate information gathering efforts across Compliance, Operations, Technology, Risk, Finance, and business units to ensure timely and accurate responses to regulatory requests.
  • Maintain examination logs, regulatory correspondence, document repositories, and response tracking systems.
  • Prepare and coordinate management responses, remediation plans, and corrective action initiatives resulting from examinations or findings.
  • Conduct internal investigations involving potential regulatory violations, supervisory concerns, customer complaints, and other compliance matters.
  • Provide regular updates to senior management and the Chief Compliance Officer regarding examination status, findings, risks, and remediation efforts.
Clearing Operations Compliance Oversight
  • Provide compliance support and guidance across all clearing operations functions.
  • Maintain a thorough understanding of clearing and settlement processes, securities movements, securities lending, customer account activity, margin requirements, books and records requirements, and operational controls.
  • Assist in the development and enhancement of policies, procedures, and controls designed to mitigate operational and regulatory risks.
  • Participate in new product reviews, operational initiatives, and regulatory change management projects impacting clearing activities.
Trade Surveillance and Market Conduct
  • Possess and maintain a comprehensive understanding of trade surveillance programs and market conduct requirements.
  • Partner with surveillance personnel to evaluate potential trading violations and determine appropriate escalation and reporting actions.
  • Support responses to regulatory requests involving trading activity and surveillance inquiries.
Anti-Money Laundering and Financial Crimes Compliance
  • Maintain a thorough understanding of Anti-Money Laundering requirements applicable to broker-dealers and clearing firms.
  • Support the administration and effectiveness of the firm's AML program, including customer due diligence, transaction monitoring, sanctions compliance, and suspicious activity investigations.
  • Assist with AML-related regulatory examinations, requests for information, and remediation efforts.
  • Collaborate with AML personnel to identify emerging risks and strengthen financial crime controls.
General Compliance Responsibilities
  • Monitor regulatory developments…
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