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Futures — Hybrid (historical), Missouri
At My Funded Futures, we’re transforming the world of proprietary trading by giving traders the capital, tools, and community they need to succeed. We blend innovation, transparency, and performance to create opportunity — helping traders scale faster and smarter. If you’re passionate about fintech, financial markets, and data-driven growth, you’ll fit right in.
Explore our open roles below and see how you can help us shape the future of funded trading. POSITION OVERVIEW We are seeking an experienced Trade Conduct Compliance Officer to serve as the firm's primary subject matter expert on trading surveillance, market conduct, and exchange-level compliance obligations. This individual will be responsible for monitoring, investigating, and escalating trading activity across the firm's proprietary trading operations and IB business to ensure adherence to CFTC regulations, NFA rules, and the rulebooks of applicable Designated Contract Markets (DCMs).
This is a highly analytical, market-facing role requiring deep fluency in futures and derivatives trading mechanics.
KEY RESPONSIBILITIES
Trade Surveillance Market Conduct Monitoring Design, operate, and continuously enhance the firm's trade surveillance program, covering the full spectrum of manipulative and disruptive trading practices including spoofing, layering, wash trading, pre-arranged trading, and banging the close. 2 (price manipulation), and applicable DCM rules. Conduct daily, weekly, and periodic reviews of trading alerts generated by surveillance systems; triage, investigate, and document findings with appropriate escalation.
Maintain comprehensive surveillance logs and investigation records sufficient to demonstrate a robust supervisory system to NFA examiners. Liaise with FCM and other exchange surveillance departments in response to inquiries, trading halts, and audit trail requests. Regulatory Compliance — Trading Operations Own compliance with audit trail, large trader reporting obligations and ongoing position monitoring.
Monitor and ensure compliance with position limits established FCM across all products traded by the prop desk and IB customers.
Requirements
for trade record-keeping, including order ticket retention, time-stamping, and voice/electronic communication capture. Best Execution Order Handling Review IB order routing and execution quality to assess adherence to best execution standards and identify potential conflicts of interest or front-running risk. Monitor algorithmic and automated trading strategies deployed by the prop desk for compliance Assess pre-trade and post-trade controls, working with the Risk and Technology teams to ensure kill switch functionality and other required risk controls are operational.
Investigations Escalation Conduct thorough investigations of potential trading violations, preparing detailed investigation memoranda with factual findings and recommended disposition. Escalate significant findings to the CCO and, where required, support regulatory self-reporting determinations. Participate in NFA examinations and CFTC inquiries relating to trading conduct, preparing supporting documentation and presenting surveillance program capabilities.
Cross-Functional Collaboration Partner with teams to deliver proactive compliance guidance on new strategies, markets, and instruments prior to deployment. Work closely with Business Conduct on shared regulatory matters, firm-wide training, and the annual compliance review. Collaborate with Technology and Risk on the build-out and ongoing calibration of automated surveillance tooling and alert logic.
QUALIFICATIONS
Required 5+ years of compliance, market regulation, or surveillance experience within a regulated environment (FCM, prop trading firm, IB, DCM market regulation, or DSRO).