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JOB DETAILS

Compliance Analyst, Supervision

CompanyHALO INVESTING INC
LocationChicago Heights
Work ModeOn Site
PostedSeptember 7, 2026
About The Company
Halo Investing is an award-winning technology platform that disrupts the use of protective investment solutions worldwide. Headquartered in Chicago and with employees worldwide, we’re democratizing access to investment solutions that were previously unavailable to most investors. Our marketplace connects financial advisors and investors to protective investment products offered by leading global financial institutions, including Structured Notes, SMAs, Annuities, and Advanced Wealth Solutions. Important Disclosures: https://haloinvesting.com/disclaimer/.
About the Role

About Halo Investing

Halo Investing is a fast-growing financial technology company with a mission to empower investors by providing access to a wide range of protective investment solutions. Our platform offers a marketplace for structured notes, SMAs, defined outcome ETFs, insurance, and annuities, connecting financial advisors and investors to a previously inaccessible market. We are committed to transparency, competition, and efficiency, and we are looking for a visionary product leader to help us continue to innovate and scale.


About the Role:

This Chicago-based Compliance Analyst will play an integral part in supporting the culture of compliance within Halo, ensuring adherence to regulatory requirements and risk mitigation. This individual will ensure that both the registered representatives of the broker dealer and the firm itself comply with applicable FINRA and SEC rules and regulations. As part of a small but mighty team, the Compliance Analyst will report to the CCO and work with all business units within Halo.

Primary Responsibilities:

  • Perform principal reviews and approvals/denials for annuity applications and 1035 exchanges under FINRA Rule 2330 and Reg BI standards.
  • Assist in daily surveillance of internal and external representatives.
  • Coordinate and review quarterly/annual compliance reporting to the CCO.
  • Conduct Know Your Customer (KYC) onboarding checks and Customer Due Diligence (CDD) on new and ongoing institutional accounts.
  • Update and maintain Halo’s Written Supervisory Procedures (WSPs) to reflect new laws or regulatory guidance.
  • Consult on various investment, FINRA and SEC compliance-related questions and issues as necessary.
  • Collaborate and develop professional relationships with internal and external business partners.
  • Oversee the online training platform from initiation to completion for Firm Element, Annual Compliance Meeting and Annual Compliance Questionnaire, ensuring full and successful employee participation.
  • Assist with special projects, ad hoc assignments, and other investment advisor compliance-related matters as directed by CCO.

Required Education and Experience:

  • Bachelor’s degree required, with 1-3 years of relevant compliance experience in the financial services industry; investment advisor experience preferred.
  • Series 7 and 24 licenses required.
  • Desire for continuous learning and career development in compliance and financial services.
  • Excellent written and verbal communication skills; ability to work effectively with Halo team members at all levels
  • Detail oriented, organized and diligent, able to maintain discretion when handling sensitive and confidential information. 

Benefits and Compensation:

This is a great opportunity with a company that values and rewards its employees. Halo offers a competitive package of benefits and compensation that will make your work life both fulfilling and enjoyable.

  • This is a hybrid role, working 3 days/week in our downtown Chicago office; working with a great team in an exciting work environment
  • Salary range of $60,000 - $80,000, plus eligibility for annual discretionary bonus based on personal and business objectives. (Please note: Salary data is a general guideline. Halo’s salaries are based on candidate skills and experience.)
  • Comprehensive benefits including medical, dental, vision insurance, life & disability, etc.
  • Multiple voluntary benefits: identity protection, pet insurance, accident insurance and more!
  • Flexible PTO policy
  • 401k program to help build wealth for the future
  • Paid parental leave to bond with your new addition
  • As a Chicago-based employee, you will have access to a company-paid, on-site gym, happy hours, and ad-hoc outings and activities like sports teams, volunteer events and more! 


Halo values diversity and inclusion, and we are proud to be an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, sex, sexual orientation, national origin, disability status, protected veteran status, or any other characteristics protected by federal, state, or local laws, regulations, or ordinances. If you need assistance or accommodation due to a disability or special need when applying for a role or during our recruitment process, please contact us at: hr@haloinvesting.com.

Key Skills
ComplianceFINRA Rule 2330Reg BISurveillanceKYCCDDWritten Supervisory ProceduresRegulatory reportingRisk mitigationInvestment advisor complianceCommunication skillsDetail oriented
Categories
Finance & AccountingLegalManagement & Leadership
Benefits
Medical insuranceDental insuranceVision insuranceLife insuranceDisability insuranceIdentity protectionPet insuranceAccident insuranceFlexible PTO401k programPaid parental leaveOn-site gymCompany outings
Job Information
📋Core Responsibilities
The Compliance Analyst will perform principal reviews for annuity applications and conduct daily surveillance to ensure adherence to FINRA and SEC regulations. They will also manage KYC onboarding checks, maintain Written Supervisory Procedures, and coordinate compliance reporting for the firm.
📋Job Type
full time
💰Salary Range
$60,000 - $80,000
📊Experience Level
0-2
💼Company Size
125
📊Visa Sponsorship
No
💼Language
English
🏢Working Hours
40 hours
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