Chief Compliance Officer

Post Date

Apr 22, 2026

Location

Boca Raton,
Florida

ZIP/Postal Code

33486
US
Jun 22, 2026 Insight Global

Job Type

Perm

Category

Financial Services

Req #

FTL-68cebdc2-cb03-4c7f-8be6-62366c25acf6

Pay Rate

$100k - $130k (estimate)

Job Description

The Chief Compliance Officer (“CCO”) serves as a senior member of the executive leadership team and is responsible for the design, implementation and oversight of the firm’s enterprise compliance program across its broker-dealer and registered investment adviser businesses.

This role provides strategic leadership in managing regulatory risk, maintaining a strong culture of compliance and ensuring the firm’s supervisory systems, policies and procedures align with applicable FINRA, SEC and state regulatory requirements.

The CCO works closely with senior leadership, legal counsel and regulators to support the firm’s continued growth while maintaining the highest standards of regulatory integrity and investor protection.

We are a company committed to creating diverse and inclusive environments where people can bring their full, authentic selves to work every day. We are an equal opportunity/affirmative action employer that believes everyone matters. Qualified candidates will receive consideration for employment regardless of their race, color, ethnicity, religion, sex (including pregnancy), sexual orientation, gender identity and expression, marital status, national origin, ancestry, genetic factors, age, disability, protected veteran status, military or uniformed service member status, or any other status or characteristic protected by applicable laws, regulations, and ordinances. If you need assistance and/or a reasonable accommodation due to a disability during the application or recruiting process, please send a request to HR@insightglobal.com.To learn more about how we collect, keep, and process your private information, please review Insight Global's Workforce Privacy Policy: https://insightglobal.com/workforce-privacy-policy/.

Required Skills & Experience

Qualifications and Experience

· Minimum 10 years of experience in securities industry compliance, including leadership roles within a broker-dealer or hybrid broker-dealer/RIA environment.

· Prior experience serving as a Chief Compliance Officer, Deputy CCO or senior compliance executive at a regulated financial services firm.

· Strong working knowledge of FINRA, SEC and state regulatory frameworks governing broker-dealers and investment advisers.

· Demonstrated experience managing regulatory examinations and regulatory inquiries.

· Experience with independent broker-dealer platforms and alternative investments is strongly preferred.

· Proven leadership ability with experience managing and developing compliance teams.

Required Licenses
Candidates must hold or be able to obtain the following

FINRA registrations:
· Series 7
· Series 24
· Series 63
· Series 65 or Series 66

Preferred Licenses
· Series 4
· Series 53

Nice to Have Skills & Experience

- Prior experience within an independent broker‑dealer platform
- Alternative investments exposure
- Experience overseeing both brokerage and advisory compliance programs simultaneously
- Background supporting firm growth, new products, or business expansion initiatives
- Strong history of building and scaling compliance teams

Benefit packages for this role will start on the 1st day of employment and include medical, dental, and vision insurance, as well as HSA, FSA, and DCFSA account options, and 401k retirement account access with employer matching. Employees in this role are also entitled to paid sick leave and/or other paid time off as provided by applicable law.