Risk ManagementMentoringCommunicationDecision Making
About this role
Role Overview
Lead and develop a team of Trading Compliance Specialists, overseeing daily operations and prioritization in a fast-paced environment
Oversee Trading Compliance across key areas, including trading incident investigation and remediation, event and market compliance monitoring, and house rules governance
Act as an escalation point for high-risk or complex issues, stepping in to support decision making, strategy, and remediation efforts when needed
Partner closely with Trading and cross-functional teams to ensure regulatory alignment, providing guidance and challenge where needed
Improve and scale processes, including by leveraging new technologies, to enhance consistency in decision-making, operational efficiency, and risk management across Trading Compliance
Support regulatory interactions, audits, and key initiatives such as new market launches and product changes, ensuring trading-related compliance readiness and execution.
Requirements
At least 4 years of experience in compliance, trading operations, or risk within a regulated industry (sports betting or gaming strongly preferred)
Experience leading or mentoring a team in a fast-paced, operational environment
Strong understanding of sportsbook trading, including markets, events, and risk exposure
Proven ability to manage incidents, investigations, or escalations and make decisions under pressure
Ability to apply regulatory requirements to real-time scenarios and partner effectively with Trading teams
Strong communication, organization, and attention to detail, with a focus on improving processes and driving consistency
Experience working with U.S. gaming regulators, including audits or incident reporting, along with familiarity with sportsbook platforms, trading tools, or house rules development.