Chief Compliance Officer
Listed on 2026-02-04
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Finance & Banking
Regulatory Compliance Specialist, Risk Manager/Analyst
CYBER HORNET ETFs offers an innovative investment option through its flagship product BBB, which combines the S&P 500® (75%) and Bitcoin Futures (25%). By rebalancing monthly, this unique ETF aims to lower downside volatility while providing diversified exposure to traditional equity markets and cryptocurrency futures. CYBER HORNET ETFs strives to create forward-thinking financial strategies for its clients and position them for long-term growth and stability.
OverviewRole Description
This is a full-time, on-site role for a Chief Compliance Officer at CYBER HORNET ETFs, located in St. Petersburg, FL. The Chief Compliance Officer will oversee and manage the organization s compliance framework to ensure adherence to relevant regulatory standards. Day-to-day responsibilities include developing and implementing compliance policies, conducting risk assessments, managing compliance audits and reports, providing guidance on regulatory matters, liaising with regulatory bodies, and ensuring compliance training for employees.
Collaboration with various departments to ensure ethical and legal business operations will also be key responsibilities in this role.
- Oversee and manage the organization s compliance framework to ensure adherence to relevant regulatory standards.
- Develop and implement compliance policies, conduct risk assessments, manage compliance audits and reports.
- Provide guidance on regulatory matters and liaise with regulatory bodies.
- Ensure compliance training for employees and collaborate with various departments to ensure ethical and legal operations.
- Proven expertise in Compliance Management and Regulatory Compliance, including knowledge of local and international financial regulations.
- Strong Analytical Skills to assess and mitigate risks effectively, and ensure sound decision-making in complex regulatory environments.
- Excellent Communication skills, both verbal and written, to interface with internal teams, stakeholders, and regulatory authorities.
- A solid background in Finance with an understanding of investment management principles and financial products.
- Effective leadership and team management experience to guide compliance teams and ensure organizational adherence to regulations.
- Bachelor s or advanced degree in Finance, Law, Business Administration, or a related field is preferred.
- Professional certifications such as Certified Compliance & Ethics Professional (CCEP), Certified Regulatory Compliance Manager (CRCM), or equivalent are advantageous.
- Base Salary: $150,000 annually
- Paid Time Off: 10 days of paid time off (PTO)
- Holidays: Observed New York Stock Exchange (NYSE) holidays
- $800 per month tax-free healthcare reimbursement
- Work Schedule & Flexibility: Flexible working hours between 7:00 AM – 5:00 PM, provided an 8-hour workday is maintained
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