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Sr. Manager, Trading Compliance

Job in Spring, Harris County, Texas, 77391, USA
Listing for: Expand Energy
Full Time position
Listed on 2026-07-07
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Risk Manager/Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 120000 - 150000 USD Yearly USD 120000.00 150000.00 YEAR
Job Description & How to Apply Below

Our core values — Stewardship, Character, Collaborate, Learn, Disrupt — are the lens through which we evaluate every business decision. As a dynamic, growing company that offers extremely competitive compensation and benefits, our employees are our most valued assets and the foundation of Expand's performance among our E&P competitors.

We seek applicants from all backgrounds to ensure we get the best, most creative talent on our team. We realize that, historically, underrepresented groups feel the need to be 100% qualified in order to apply. If you meet any combination of our requirements, we encourage you to apply. We strive to hire people from a wide variety of backgrounds, not just because it’s the right thing to do, but because it makes our company stronger.

Job Summary

Expand Energy is seeking a senior compliance leader to build, lead, and continuously enhance a fit-for-purpose regulatory trading compliance program for a growing energy trading organization. This role is designed for a small trading group, so the successful candidate must be able to operate strategically and tactically: set the compliance framework, advise leadership and the trading desk, and personally execute the critical activities required to maintain a robust and practical program.

This position will serve as the senior compliance lead for trading-related regulatory matters and will partner closely with Risk, Legal, Middle Office, Commercial, Internal Audit, and executive leadership. The role must balance commercial enablement with disciplined governance, surveillance, documentation, training, monitoring, and regulatory responsiveness.

Job Duties & Responsibilities
  • Regulatory Trading Compliance Program Leadership
    • Design, implement, and maintain a fit-for-purpose regulatory trading compliance framework for Expand Energy’s trading activities.
    • Establish compliance policies, standards, procedures, and controls appropriate for a small but growing energy trading business.
    • Advise the CRO and senior leadership on compliance risk, regulatory developments, and program priorities.
    • Build a practical compliance operating model that is credible with regulators and workable for a commercial trading organization.
  • Advisory to Trading and Business Leadership
    • Provide day-to-day advisory support to traders, risk, middle office, and commercial leadership on applicable trading regulations, conduct expectations, and control requirements.
    • Review new products, strategies, transactions, and business initiatives for compliance implications.
    • Support business growth while ensuring appropriate governance, challenge, and escalation.
  • Monitoring, Surveillance, and Testing
    • Oversee and execute trade surveillance, communication surveillance, and monitoring activities appropriate to the business model.
    • Develop and run a risk-based compliance monitoring and testing plan.
    • Identify control gaps, remediation actions, and thematic issues across trading compliance activities.
    • Produce management reporting on surveillance outcomes, testing results, issues, and remediation progress.
  • Regulatory Change and Governance
    • Track, assess, and implement regulatory change relevant to energy trading and related market activities.
    • Maintain compliance inventories, obligations registers, procedures, and evidence required to support internal governance and external review.
    • Lead or support regulatory inquiries, examinations, audits, and requests for information.
    • Coordinate periodic reporting, attestations, and program reviews as required.
  • Investigations, Escalation, and Conduct
    • Lead or support reviews of potential compliance breaches, employee conduct matters, and control failures related to trading activities.
    • Ensure matters are escalated promptly and documented appropriately.
    • Partner with Legal, HR, Risk, and leadership on investigations, corrective actions, and lessons learned.
  • Training and Culture
    • Develop and deliver targeted compliance training for traders, schedulers, risk, middle office, and relevant support teams.
    • Reinforce expected standards of conduct and effective challenge within the trading organization.
    • Help build a culture where compliance is integrated into commercial decision‑making, not…
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