Division CFO NucorDivision CFOBourbonnais, IL$156,000–$187,000 / hourThe Division CFO is responsible for driving financial performance, ensuring strong governance and controls, and leadership of Accounting, Human Resources, Purchasing, Warehouse and Logistics functions to support the business. As a member of the senior leadership team reporting directly to the General Manager, the Division CFO is an integral part of developing and executing on the division’s business strategy.
Chief Financial Officer The Exeter GroupChief Financial OfficerChicago, ILThe CFO will lead the development, implementation, and day-to-day management of all processes related to the following functions: accounting, financial reporting, budgeting, financial planning, billing, performance measures, decision support and related matters. Establish and maintain positive, effective relationships with key resources, including the Bureau of Primary Health Care, state agencies and funding sources, banks, lenders, regulators, audit firms, and related external resources.
President & Chief Executive Officer Southern Illinois Power CooperativePresident & Chief Executive OfficerMarion, ILThe Chief Executive Officer (CEO) serves as the strategic and operational leader of SIPC, overseeing generation and transmission assets, financial performance, regulatory compliance, and long-term organizational planning. Job DescriptionThe Board of Directors for Southern Illinois Power Cooperative (SIPC) is seeking a proven leader to serve as the cooperative’s next President & Chief Executive Officer (CEO).
NewPersonal Trust Officer U.S. Fiduciary Services, Inc.Personal Trust OfficerLisle, ILManaging Client ExperienceMaintain client relationships in a manner consistent with GreatBanc's Client Experience Commitment by proactively identifying and resolving issues and as warranted, by consulting with clients' attorneys and related professionals. Salary $90,000GENERAL PURPOSEA Personal Trust Officer is responsible for retaining and developing relationships with clients by administering, growing, and transferring their personal assets.
SVP, Chief Compliance Officer of the Futures Division Wedbush SecuritiesSVP, Chief Compliance Officer of the Futures DivisionChicago, IL$200,000–$225,000 / yearWe provide innovative financial solutions through our Wealth Management, Capital Markets, Futures and Advanced Clearing & Prime Services divisions. Required Experience: Bachelor's Degree from accredited university required, preferably in Business, Economics, Accounting or other related field.
Chief Compliance Officer, RHD Robinhood Markets IncChief Compliance Officer, RHDChicago, IL$255,000–$300,000 / yearAdvise business teams on regulatory requirements related to futures, event contracts, and options on futures, including new product launches and updates to existing offerings. The team ensures adherence to Commodity Futures Trading Commission (CFTC) and National Futures Association (NFA) requirements while supporting the compliant launch of new products.
SVP Chief Compliance Officer of the Futures Division WEDBUSH, Inc.SVP Chief Compliance Officer of the Futures DivisionChicago, IL$170,000–$200,000 / yearWe provide innovative financial solutions through our Wealth Management, Capital Markets, Futures and Advanced Clearing & Prime Services divisions. 10+ years of securities industry regulatory compliance experience, with at least 5+ years of leading broker-dealer compliance function.
Compliance Officer- Fintech Services Midland States Bancorp, Inc.Compliance Officer- Fintech ServicesChicago, IL$107,000–$160,000 / yearThe Compliance Officer-Fintech Services will report to the Fintech Services Manager and will serve as adviser to the Director of Banking as a Service, Chief Compliance Officer and executive management on appropriate measures to be taken to ensure ongoing regulatory compliance as the Company responds to changing market conditions. Identifies and analyzes risks associated with new and existing Fintech Leads, third-parties, third-party products, product channels and significant changes in existing products are properly evaluated and adequately communicated.
AVP Compliance Officer – Loan Compliance Wintrust Financial CorporationAVP Compliance Officer – Loan ComplianceRosemont, ILFull timeWe serve clients in all 50 states with more than 200 branch banking locations in Illinois, southwestern Florida, northwestern Indiana, west Michigan and southern Wisconsin and commercial banking offices in Chicago, Denver, Milwaukee, Grand Rapids, Mich., and in key branch banking locations throughout Illinois. Liaison between Compliance Testing and the assigned LOB and Charters providing necessary information to Compliance Testing to conduct thorough reviews and supports Compliance Testing as they identify potential Issues and work with the Business to develop effective action plans and corresponding timelines.
Compliance Officer IH Mississippi Valley Credit UnionCompliance OfficerMoline, ILCheck out our careers page for more information including benefits www.ihmvcu.org/careers Final compensation will be determined by various factors such as experience, specific skills and internal pay equity. Talking: Expressing or exchanging ideas by means of the spoken word; those activities where detailed or important spoken instructions must be conveyed to other workers accurately, loudly, or quickly.
NewJunior Compliance Officer/Auditor SGI Global, LLCJunior Compliance Officer/AuditorChicago, ILAssist with drafting audit reports and associated administrative fine paperwork to support the issuance of Notices of Intent to Fine, Final Orders, Warning Notices and other related documentation for HSI audits related to the employment eligibility verification process. The role assists in reviewing employment eligibility documentation, conducting database research, and preparing audit-ready case files and reports that support administrative enforcement actions and related determinations.
Chief Compliance Officer The Inland Real Estate Group of Companies IncChief Compliance OfficerOak Brook, IL$300,000–$350,000 / yearThe ideal candidate brings deep experience in SEC compliance, Investment Advisers Act requirements, private real estate offerings, RIA oversight, and sales practices, and is comfortable operating in a fast-paced, highly regulated environment. Stay current on regulatory developments impacting real estate securities, private funds, and RIA distribution models, and translate changes into actionable guidance.
Compliance Officer, ETF Invesco LtdCompliance Officer, ETFDowners Grove, IL$70,000–$85,000 / yearFull Time / Part Time Full time Worker Type Employee Job Exempt (Yes / No) Yes Workplace Model Pursuant to Invesco's Workplace Policy, employees are expected to comply with the firm's most current workplace model, which as of October 1, 2025, includes spending at least four full days each week working in an Invesco office. About the Role: As a Compliance Officer, you will contribute to the effective execution of compliance monitoring, testing, and regulatory support for Invesco's 1940 Act ETFs and related accounts.
Senior Compliance Officer Invesco LtdSenior Compliance OfficerDowners Grove, IL$100,000–$111,000 / yearp>Pursuant to Invescos Workplace Policy, employees are expected to comply with the firms most current workplace model, which as of October 1, 2025, includes spending at least four full days each week working in an Invesco office. About the Role: As a Senior Compliance Officer, you will contribute to the effective execution of compliance monitoring, testing, and regulatory support for Invescos 1940 Act ETFs and related accounts.
Junior Compliance Officer - Midwest Region: St. Paul , Chicago, Detroit, Wichita or Topeka KS LIS SolutionsJunior Compliance Officer - Midwest Region: St. Paul , Chicago, Detroit, Wichita or Topeka KSChicago, ILProgram Overview: LEGAL INTERPRETING SERVICES, INC. is seeking Junior Compliance Officers (JCOs) to support of the Department of Homeland Security, Immigration and Customs Enforcement, Homeland Security Investigations Worksite Enforcement Unit. Candidates must be able to work on-site, handle sensitive information appropriately, complete DHS/ICE training requirements, and obtain a favorable DHS/ICE personnel security determination before accessing law enforcement databases, government systems, facilities, or sensitive information.
Senior Compliance Officer InvescoSenior Compliance OfficerDowners Grove, IllinoisPursuant to Invesco’s Workplace Policy, employees are expected to comply with the firm’s most current workplace model, which as of October 1, 2025, includes spending at least four full days each week working in an Invesco office. As a Senior Compliance Officer, you will contribute to the effective execution of compliance monitoring, testing, and regulatory support for Invesco’s 1940 Act ETFs and related accounts.
VP CRA Compliance Officer - Riverwoods, IL BritePros Medical StaffingVP CRA Compliance Officer - Riverwoods, ILRiverwoods, Illinois$150,000–$150,000VP CRA Compliance Officer responsibilities include:Drive CRA program success by applying independent judgment to review, qualify, and document activities across volunteer services, donations, FHLB programs, as well as financial literacy initiatives; ensuring timely, compliant completion of low-risk deliverables and generating actionable reports for management and the CRA Committee to support strategic decisions and enhance community impact. Collaborate with the Mortgage Group and CRA Officer to maintain and submit documentation for FHLB Programs including Special Needs Assistance Program (SNAP), Homebuyer Equity Leverage Partnership (HELP), Affordable Housing Program (AHP), Partnership Grant Program (PGP), and Disaster Programs.
Compliance Officer – Job # 3752 BritePros Medical StaffingCompliance Officer – Job # 3752Des Plaines, Illinois$120,000–$120,000Whether you are a candidate seeking a new opportunity or a bank or company president trying to fill an essential position, The Symicor Group stands ready to deliver premium results for you. This role involves developing, implementing, and maintaining compliance programs, conducting risk assessments, and providing guidance to the business units.
Fintech Compliance Officer – Job # 3784-6264 BritePros Medical StaffingFintech Compliance Officer – Job # 3784-6264Chicago, Illinois$150,000–$150,000Identifies and analyzes risks associated with new and existing Fintech Leads, third-parties, third-party products, product channels and significant changes in existing products are properly evaluated and adequately communicated. Provides compliance expertise and guidance on bank wide projects to include Fintech oversight and BaaS as well as new product and system offerings.
Compliance Officer, Control Room Bank of MontrealCompliance Officer, Control RoomChicago, IL$63,300–$117,200 / yearAdvises business/group on implications of new regulatory developments or internal products, and assists to implement new/revised policies and programs to address them. Provides advice and guidance to assigned business/group on implementation of solutions to manage regulatory risk based on an understanding of business operations and stakeholder needs.
Sr Manager, GxP Compliance Officer Fresenius KabiSr Manager, GxP Compliance OfficerLake Zurich, IllinoisRemoteProfessional experience in pharmaceutical industry, including technological understanding of manufacturing pharmaceuticals and combination products, aseptic processes, validation and qualification, risk management, root cause analysis and investigation management is required to be successful in this position. Responsible for specific preparation of manufacturing sites and I&D Centers for upcoming US-FDA inspections, including but not limited to:Training of plant staff for general inspection aspects and behaviors, as well as specific training for subject matter experts.
Co-Founder & CEO - HealthTech - AI Clinical Documentation Compliance FutureSightCo-Founder & CEO - HealthTech - AI Clinical Documentation ComplianceChicago, ILThe market signal is incredibly strong: Unprompted Product Pull: Every single lead described the exact product we want to build: a pre-billing, real-time, EHR-integrated flagging layer that checks documentation against payer-specific rules before claims are submitted. Concordance AI audits 100% of healthcare charts in real-time, catches payer-specific gaps before they hit billing, and eliminates the manual QA overhead that costs organizations millions in denials and clawbacks every year.
Code Compliance Officer/Electrical Inspector Aurora Planning And Zoning DivisionCode Compliance Officer/Electrical InspectorAurora, ILRequires the following International Code Council certifications at time of hire or within the prescribed timeframes below or employee may be subject to termination: Residential Electrical Inspector (within 3 months of hire); Residential Plans Examiner (within 9 months of hire); Residential Energy Inspector/Plans Examiner (within 12 months of hire); Commercial Electrical Inspector (within 6 months of hire); Electrical Plans Examiner (within 12 months of hire). Successful candidates should possess working knowledge of the proper installation, repair, maintenance and operation of electrical systems; including residential, commercial and industrial installations; Extensive knowledge of building, electrical, fire, mechanical, plumbing and other systems relative to construction inspections; Ability to interpret and enforce equitably, applicable provisions of codes and ordinances.
Compliance Officer - Broker Dealer Phaxis LLCCompliance Officer - Broker DealerChicago, ILExperience supporting regulatory compliance programs for a broker-dealer, registered investment adviser, wealth management platform, or similar organization. This individual will help ensure adherence to applicable securities regulations, internal policies, and supervisory requirements while partnering with business stakeholders to strengthen compliance controls and risk management practices.
Director, Sage Compliance Officer Stryker CorpDirector, Sage Compliance OfficerChicago, IL$155,900–$259,700 / yearHowever, employees who have access to the compensation information of other employees or applicants as a part of their essential job functions cannot disclose the pay of other employees or applicants to individuals who do not otherwise have access to compensation information, unless the disclosure is (a) in response to a formal complaint or charge, (b) in furtherance of an investigation, proceeding, hearing, or action, including an investigation conducted by the employer, or (c) consistent with the contractor's legal duty to furnish information. This role may also help prepare and lead the Medical Compliance Committee, drives alignment to the global Compliance strategy, and influences senior leadership and other stakeholders in identifying risks and opportunities and implementing appropriate mitigation efforts.
Compliance Officer Bank of MontrealCompliance OfficerChicago, IL$63,300–$117,200 / yearThis is a Compliance Regulatory Change position within the Compliance Program Management team that is responsible for partnering with Legal, 2LOD and 1LOD teams. From in-depth training and coaching, to manager support and network-building opportunities, we'll help you gain valuable experience, and broaden your skillset.
Sr. Compliance Officer - Home Lending Originations KeyCorpSr. Compliance Officer - Home Lending OriginationsIL$96,000–$181,000 / yearThe Senior Compliance Officer provides oversight of compliance-related activities within Home Lending Originations, including delivering specialized guidance on current and emerging regulatory requirements impacting mortgage lending (e.g., RESPA, TILA, ECOA requirements, and state-specific regulations). Partner with other members of the second line of defense and the Home Lending line of business to identify risks, develop and execute assessments, provide guidance on control and testing design and execution, and advise on and monitor findings and associated remediation activities.
Compliance Officer - To 120K - Des Plaines, IL - Job 3752 The Symicor GroupCompliance Officer - To 120K - Des Plaines, IL - Job 3752Des Plaines, IL$120,000–$120,000Whether you are a candidate seeking a new opportunity or a bank or company president trying to fill an essential position, The Symicor Group stands ready to deliver premium results for you. This role involves developing, implementing, and maintaining compliance programs, conducting risk assessments, and providing guidance to the business units.
Fintech Compliance Officer - To 150K - Chicago, IL - Job 3784-6264 The Symicor GroupFintech Compliance Officer - To 150K - Chicago, IL - Job 3784-6264Chicago, IL$150,000–$150,000Identifies and analyzes risks associated with new and existing Fintech Leads, third-parties, third-party products, product channels and significant changes in existing products are properly evaluated and adequately communicated. Provides compliance expertise and guidance on bank wide projects to include Fintech oversight and BaaS as well as new product and system offerings.
AVP Compliance Officer - To 120K - Des Plaines, IL - Job 3500 The Symicor GroupAVP Compliance Officer - To 120K - Des Plaines, IL - Job 3500Des Plaines, IL$120,000–$120,000Experience or working knowledge of a variety of different compliance areas including but not limited to CRA, BSA, Retail/Deposit regulations, Reg E, Reg CC, Fair Lending, Equal Credit Opportunity Act, Truth-in-Lending Act, Real Estate Settlement Procedures Act, Fair Housing Act, Home Mortgage Disclosure Act, Flood Disaster Protection Act, Fair Lending, Reg O and USA Patriot Act. This role involves developing, implementing, and maintaining compliance programs, conducting risk assessments, and providing guidance to the business units.
VP CRA Compliance Officer - To 150K - Riverwoods, IL - Job 3721 The Symicor GroupVP CRA Compliance Officer - To 150K - Riverwoods, IL - Job 3721Riverwoods, IL$150,000–$150,000VP CRA Compliance Officer responsibilities include: Drive CRA program success by applying independent judgment to review, qualify, and document activities across volunteer services, donations, FHLB programs, as well as financial literacy initiatives; ensuring timely, compliant completion of low-risk deliverables and generating actionable reports for management and the CRA Committee to support strategic decisions and enhance community impact. Collaborate with the Mortgage Group and CRA Officer to maintain and submit documentation for FHLB Programs including Special Needs Assistance Program (SNAP), Homebuyer Equity Leverage Partnership (HELP), Affordable Housing Program (AHP), Partnership Grant Program (PGP), and Disaster Programs.
Compliance Officer, AML Investigator Canadian Imperial Bank of CommerceCompliance Officer, AML InvestigatorChicago, IL$75,000–$85,000 / yearOur team provides commercial and commercial real estate banking, private wealth management, and tailored financial solutions to clients with North American operations. We work to recognize you in meaningful, personalized ways including a competitive salary, incentive pay, banking benefits, a benefits program*, a vacation offering, wellbeing support, and MomentMakers, our social, points-based recognition program.
Junior Compliance Officer (Operations, Junior Analyst) The Mil CorpJunior Compliance Officer (Operations, Junior Analyst)Chicago, IL$35,000–$48,000 / yearAssociates degree in Business, Accounting, Finance, Information Systems, Criminal Justice, or a related field is required; Bachelors degree in Business, Accounting, Finance, Information Systems, Criminal Justice, or a related discipline is preferred. The role assists in reviewing employment eligibility documentation, conducting database research, and preparing audit-ready case files and reports that support administrative enforcement actions and related determinations.
Compliance Officer CorientCompliance OfficerChicago, IllinoisCorient participates in E-Verify and will provide the federal government with your Form I-9 information to confirm that you are authorized to work in the U.S. If E-Verify cannot confirm that you are authorized to work, this employer is required to give you written instructions and an opportunity to contact Department of Homeland Security (DHS) or Social Security Administration (SSA) so you can begin to resolve the issue before the employer can take any action against you, including terminating your employment. This range takes into account the wide range of factors that are considered in making compensation decisions including but not limited to experience, skills, knowledge, abilities, education, licensure and certifications, and other business and organizational needs.
AML Compliance - Testing & Monitoring Officer Interactive Brokers Group IncAML Compliance - Testing & Monitoring OfficerChicago, ILAssist with preparing executive reports summarizing test results and conclusions Provide support with the maintenance of Global Financial Crimes Control Library Develop Testing and Monitoring metrics, and contribute to department reporting Work collaboratively with stakeholders across the Financial Crimes Compliance program and Engineering teams Perform qualitative and quantitative analysis on Financial Crimes control data to assess risk and impact The ideal candidate will have 6+ years of experience evaluating Anti-Money Laundering ("AML") controls across Investigations, Sanctions, Enhanced Due Diligence, and Suspicious Activity Reporting with a Financial Institution (preferably at a large broker or other financial institution with an international client base). Wellness screenings and assessments, health coaches and counseling services through an Employee Assistance Program (EAP) Daily company lunch allowance provided and a fully stocked kitchen with healthy options for breakfast and snack Corporate events including team outings, dinners, volunteer activities and company sports teams Education reimbursement and learning opportunities This role's anticipated base salary range is $115,000 to $150,000 annually based on skill's and experience.
Sr Manager, GxP Compliance Officer Fresenius Kabi AGSr Manager, GxP Compliance OfficerLake Zurich, ILRemote$172,000–$180,000 / yearProfessional experience in pharmaceutical industry, including technological understanding of manufacturing pharmaceuticals and combination products, aseptic processes, validation and qualification, risk management, root cause analysis and investigation management is required to be successful in this position. Responsible for specific preparation of manufacturing sites and I&D Centers for upcoming US-FDA inspections, including but not limited to: Training of plant staff for general inspection aspects and behaviors, as well as specific training for subject matter experts.
Security Officer Patrol Compliance Agent Allied UniversalSecurity Officer Patrol Compliance AgentChicago, ILJoin Allied Universal as an Unarmed Patrol Officer at a commercial real estate location, where you will monitor and patrol assigned areas, remain visible to help discourage security-related incidents, and deliver outstanding customer service and communication. What You'll Do: Provide customer service to tenants, visitors, and/or staff by carrying out security-related procedures, site-specific policies, and when appropriate, emergency response activities at a commercial real estate location.
Chief Operating Officer zerohash National Trust Bank Zero Hash LLCChief Operating Officer zerohash National Trust BankChicago, ILRemotezntb is a wholly owned subsidiary of zerohash, a Chicago-based, digital asset infrastructure platform that provides regulated API infrastructure for crypto trading, stablecoin payments, tokenized assets, and cross-border settlement to banks, fintechs, brokerages, and payment companies. The COO will also serve as a designated Fiduciary Officer of the bank, supporting the Trust Officer in fulfilling fiduciary obligations under 12 CFR Part 9, and will be the primary executive accountable for reporting to the zntb Board of Directors on trustee activities, operational KPIs, and institutional performance across the organization.
SVP, Chief Fiduciary Officer Wintrust Financial CorpSVP, Chief Fiduciary OfficerChicago, IL$117,000–$158,000 / yearCompliance Officer, WPT Investment Officers, Managing Directors - Administration Team Leads, Operations and Middle Office Services Team Leads, and other business line leaders to align fiduciary oversight with strategic growth while safeguarding the firm's reputation and mitigating risk. Partner with external advisors (attorneys, CPAs) on complex tax and estate planning issues; work closely with WPC, GLA, WTI and other business lines on promoting WPT services and presenting our services to prospective clients.
Senior Strategy Manager - Trade Compliance Caterpillar IncSenior Strategy Manager - Trade CompliancePeoria, IL$189,080–$283,630 / yearBacked by one of the largest independent global dealer networks and financing services through Cat Financial, the company's primary business segments: Power & Energy, Construction Industries and Resource Industries are solving customers' toughest challenges through commercial excellence and advanced technology, driven by a highly skilled, dedicated global team. Relationship Management: Knowledge of relationship and stakeholder management techniques; ability to establish and maintain healthy working relationships with various stakeholders including senior leaders, peers within LSPP and across Caterpillar, including logistics and procurement organizations.
Head of Broker Dealer Compliance DriveWealth LLCHead of Broker Dealer ComplianceChicago, IL$200,000–$225,000 / yearDriveWealth LLC is seeking a highly motivated and seasoned Broker Dealer Compliance leader in either our New York or Chicago office to support our multi-asset, fast-paced trading and clearing services environment. We seek AI-curious talent who are proactive about using emerging tools to increase signal quality, reduce friction, and improve outcomes to deliver products faster, provide better service to our partners, and to streamline processes.
C26-029 Director of Contract Compliance and Procurement Services (201528) Central Connecticut State UniversityC26-029 Director of Contract Compliance and Procurement Services (201528)ILFringe benefits include: paid personal, vacation and sick leave accruals; medical, dental, and prescription plans; group life insurance; retirement; retiree health care; tuition waiver for employee and eligible dependents at any of the Connecticut State Universities (Central, Eastern, Southern or Western) as well as an array of voluntary and supplemental benefits such as Deferred Retirement Contribution plans, Dependent Care Assistance and Medical Flexible spending accounts; long and short term disability insurance plans. Demonstrated ability to develop complex and involved contracts, negotiate these contracts with vendors and service providers, and manage and monitor contracts in accordance with their terms and conditions, state and federal statutes and regulations, Attorney General guidelines, Board of Regents policies and State Code of Ethics.
Investment Compliance Expert - Chicago, IL (Hybrid) Allstate Insurance CompanyInvestment Compliance Expert - Chicago, IL (Hybrid)Chicago, IL$110,000–$181,025 / yearThis role partners closely with the Investments Chief Compliance Officer and senior leaders across Legal, Risk, Operations, and the Investments business unit to help ensure the firm maintains a robust compliance framework aligned with SEC rules, firm policies, and regulatory expectations. The team is responsible for designing, implementing, and operating a compliance program aligned with the Investment Advisers Act of 1940, with a strong emphasis on exam readiness, risk identification, and practical supervision.
Director of Compliance Group One TradingDirector of ComplianceChicago, IL$175,000–$200,000 / yearGroup One Trading was founded in San Francisco in 1989, and we've become one of the largest privately held options trading firms in the United States, with brilliant people on our team in New York, Chicago, Philadelphia, and San Francisco. You'll work closely with business leaders, technology teams and the Chief Compliance Officer to build a compliance framework that protects the firm while enabling strategic growth.
Director of Compliance- Chicago Group One Trading LPDirector of Compliance- ChicagoChicago, IL$175,000–$200,000 / yearGroup One Trading was founded in San Francisco in 1989 and weve become one of the largest privately held options trading firms in the United States with brilliant people on our team in New York Chicago Philadelphia and San Francisco. Youll work closely with business leaders technology teams and the Chief Compliance Officer to build a compliance framework that protects the firm while enabling strategic growth.
Associate Principal, Compliance Monitoring The Options Clearing CorporationAssociate Principal, Compliance MonitoringChicago, IL$97,300–$136,600 / yearThis includes, but is not limited to, facilitating the automation of the organization's control testing program by working with business stakeholders to establish data connections to various underlying data sets, as well as establishing, creating, and maintaining data connections, dashboards, and other solutions related to the department's monitoring and surveillance program, including reports to management and the Board, while following development best practices. As a Systemically Important Financial Market Utility (SIFMU), OCC operates under the jurisdiction of the U.S. Securities and Exchange Commission (SEC), the U.S. Commodity Futures Trading Commission (CFTC), and the Board of Governors of the Federal Reserve System.
Sr. Compliance Auditor Marmon Holdings IncSr. Compliance AuditorChicago, ILThe Senior Compliance Auditor will be responsible for planning and executing comprehensive compliance and ethics audits of Marmon subsidiary companies, assessing compliance risks, and ensuring adherence to all relevant Marmon Compliance policies and legal requirements including anti-bribery and anti-corruption laws, as well as import & export regulations and sanctions laws. Reporting to Marmon's Vice President (Legal) and Chief Compliance Officer, this position will work a hybrid schedule, typically two days/week in Marmon's corporate office (Loop area of Chicago) and three days/week from home.
Compliance Director Morningstar IncCompliance DirectorChicago, IL$500–$2,000 / yearAdminister and support local and global controls compliance team activities regarding policies and procedures, advisory agreements, registrations, regulatory filings, disclosures, training, monitoring and testing, customer complaints, and risk assessments. Solid understanding of and experience with applicable advisory services, regulatory environment, rules and regulations (Advisers Act, Investment Company Act, ERISA), and implementing policies and procedures for new or changing regulations.
NewSr. Compliance Auditor Marmon HoldingsSr. Compliance AuditorChicago, IllinoisThe Senior Compliance Auditor will be responsible for planning and executing comprehensive compliance and ethics audits of Marmon subsidiary companies, assessing compliance risks, and ensuring adherence to all relevant Marmon Compliance policies and legal requirements including anti-bribery and anti-corruption laws, as well as import & export regulations and sanctions laws. Reporting to Marmon’s Vice President (Legal) and Chief Compliance Officer, this position will work a hybrid schedule, typically two days/week in Marmon’s corporate office (Loop area of Chicago) and three days/week from home.
Chief Financial Officer - Chicago, IL Vensure Employer ServicesChief Financial Officer - Chicago, ILChicago, ILThis role is responsible for leading the company's financial strategy, overseeing all financial operations, and supporting business growth through data-driven decision-making. The CFO will work closely with the CEO and senior leadership to ensure financial stability, operational efficiency, and long-term scalability.