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Compliance Manager, Finance & Banking

Job in Houston, Harris County, Texas, 77246, USA
Listing for: NextEra Energy
Full Time position
Listed on 2026-01-17
Job specializations:
  • Finance & Banking
    Financial Compliance, Risk Manager/Analyst
  • Management
    Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 80000 - 100000 USD Yearly USD 80000.00 100000.00 YEAR
Job Description & How to Apply Below

Compliance Manager

Date: Dec 26, 2025

Location(s): Houston, TX, US, 77002

Company: Next Era Energy

Requisition : 91661

Next Era Energy Marketing is one of the nation’s leading electricity and natural gas marketers, and a key player in the energy markets in the United States and Canada. As a part of Next Era Energy Resources, we specialize in innovative energy strategies that maximize market value for our customers and stakeholders. Our team is skilled in market analysis, trading, risk management and delivering tailored customer solutions across North America.

If you are a strategic thinker eager to make a significant impact in the fast‑paced energy industry, join our team today.

Position Specific Description

Support the compliance team and Director Trade Compliance with the coordination of all of NEER’s SOX, CFTC, FERC (or other regulatory agencies as required) compliance activities, both internally and externally, as needed. The mission of the role is to assist the Business Unit in ensuring compliance with all applicable SOX, CFTC and FERC requirements by working directly with NEER Business Units to implement and maintain a sustainable culture of compliance.

Responsibilities

include, but are not limited to:
  • Help to implement, oversee and edit policies, procedures, processes and controls to ensure compliance with all applicable regulations including training and educating business unit employees
  • Assist Business Unit with management all aspects of SOX compliance – narrative understanding and editing, documentation of controls, participation and support of testing, meeting with internal and external audit, review of possible deficiencies, IT remediation, etc.
  • Monitor trading activity, business unit processes and procedures, and required reporting obligations to ensure compliance with FERC and/or CFTC regulations by analyzing data, building/modifying reports, and/or running queries (this includes monitoring and tracking trading exceptions to our policies)
  • Liaise with NEE General Counsel, NEE Internal Audit, our external audit partners, NEE Corporate Responsibility Office (CRO), Federal Regulatory Affairs (FRA), other Trading Risk Management groups and commercial groups
  • Develop and/or execute processes that ultimately review trade and communications data for activity that may appear manipulative in nature and be able to assess when to elevate suspicious behavior (Anti‑Market Manipulation)
  • Prepare annual compliance reports required by internal management or any of the business units’ regulatory agencies
  • Help with applicable CFTC risk assessments, rule impact analysis, testing controls, etc.
  • Assist in gathering and analyzing compliance metrics and reporting to senior management
  • As needed, work with IT to provide guidance on required enhancements to system functionality, assist in testing compliance functionality, prioritization of tasks, and ensure projects are delivered on time to adhere to compliance deadlines. This may include doing deep dives into Power BI report building, SQL and Power Automate.
  • Keep Director and VP within Trading Risk Management apprised of all efforts supporting above areas
  • Complete ad‑hoc projects as assigned
Job Overview

The leader in this role performs and coordinates activities related to internal and external audits of Company or business unit functional areas to ensure compliance with enforceable standards.

Job Duties & Responsibilities
  • Assists business units in the preparation and submittal of documents required for compliance and related legal proceedings
  • Interacts with compliance teams, regulatory groups and other company personnel to build relationships, address compliance issues, develop advocacy plans and resolve problems
  • Analyzes and communicates the impact of key regulatory issues related to strategic business goals and potential market impact
  • Monitors standard approval process at the applicable level and participates in workshop panels and submits comments as required
  • Performs other job‑related duties as assigned
Required Qualifications
  • High School Grad / GED
  • Bachelor’s or Equivalent Experience
  • Experience:

    8+ years
  • Leadership

    Experience:

    2+ years
Preferred Qualifications
  • Bachelor's Degree
  • Mas…
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