WHO WE ARE
Apex Fintech Solutions (Apex) powers innovation and the future of digital wealth management by building tech-forward solutions that help simplify, automate, and facilitate access to financial markets for all. Our robust suite of fintech software enables us to support clients such as Stash, Betterment, SoFi, Webull, and eToro, amongst many others; collectively, Apex powers access to the stock market for over 22+ million end customers.
At Apex, we are changing how the securities industry operates by reinventing the status quo, which was manual, slow, and accessible only by the ultra-wealthy. We're digitizing and democratizing systems so that everyone has an opportunity to invest.
When you're at Apex, you drive this change. You're part of a global team with a clear vision: to be the trusted technology that powers the digital economy. Our offices in Austin, Dallas, Chicago, New York, Portland, Belfast, and Manila are home to over 1,000 employees.
Together, we’re shaping the future of financial innovation. Embrace change. Solve big. Win together. And be G.R.E.A.T. — grit, results, empathy, accountability, and teamwork — with Apex.
We’re proud to be recognized for the innovative work we do, the purpose-driven nature of our work, and the collaborative culture we’ve created. Here are just a few of the many awards we’ve recently received:
Best Places to Work
2026, 2025, 2024, 2023 - Presented by BuiltIn
WealthTech of the Year
2025 - Presented by US FinTech Awards
The World’s Top 250 Fintech Companies
2024 - Presented by CNBC
ABOUT THIS ROLE
The Senior Compliance Analyst (Compliance Testing) plays a pivotal role in ensuring the organization's adherence to regulatory frameworks by executing comprehensive compliance testing activities.
Based in Belfast, this role is responsible for assessing compliance risks, evaluating the design and operating effectiveness of controls, and delivering high quality testing and assurance outcomes across business processes. This individual will independently assess compliance risks, design sophisticated test plans, and collaborate across business units to identify and remediate control gaps. The position requires experience in regulatory frameworks, FINRA/SEC advantageous, and leverages technology-driven solutions to ensure compliance, efficiency, and proactive risk management.
This role demands a blend of advanced analytical skills, operational knowledge of broker dealer/fintech environments, strong technical expertise in data driven testing methodologies, and proven stakeholder management capabilities.
Duties/Responsibilities
Perform independent compliance testing activities (testing and ongoing monitoring) to assess the design and operational effectiveness of controls across key business processes in accordance with FINRA, SEC, and CFTC regulatory frameworks.
Support the design and development of dynamic testing methodologies, including the creation of complex test scripts, execution of testing plans, and robust documentation of findings.
Collaborate with internal stakeholders to address compliance risks related to broker dealer and fintech operations, promoting adherence to regulatory obligations.
Leverage SQL queries, data validation techniques, and advanced Excel functions to execute data driven compliance testing.
Provide actionable insights via written and verbal reports for internal and executive audiences, ensuring clarity and precision in communicating compliance risks and findings.
Develop and enhance compliance monitoring programs by incorporating exposure to AI, automation, and other advanced data workflow tools.
Maintain a forward-looking perspective by identifying industry best practices and emerging regulatory trends, proactively adapting methodologies to these developments.
Act as a primary reviewer of testing results while mentoring team members to ensure quality assurance and consistency across compliance audits/reviews.
Ensure the timely resolution of issues and findings through close collaboration with business leaders, proposing evidence-based recommendations to improve processes and controls.
Education and/or Experience
Bachelor's Degree in a relevant field or (equivalent work experience) required
5+ years of experience in Compliance, Legal, Regulatory, or Financial Services Testing/Audit roles.
Experience in compliance testing, internal audit, assurance, risk or control-based roles within regulated environments.
Experience with planning, executing, and reporting on compliance testing reviews as well as regulatory issue validation activities.
experience conducting regulatory examinations, compliance reviews, or risk assessments with a strong understanding of policies and procedures.
Experience with data analysis, test scripting, or workflow analysis tools is an advantage
Professional certifications such as CIA or ICA are desirable.
Required Skills/Abilities
Willingness to obtain and maintain relevant FINRA registrations and licenses within required timeframe.
Familiarity with leveraging data-driven insights into compliance programs is a distinct advantage.
Strong understanding of control testing concepts, including walkthroughs, evidence evaluation and issue documentation.
Ability to follow structured testing methodologies and produce clear, well organized documentation.
Ability to manage workload effectively and meet deadlines in a fast-paced environment.
Strong attention to detail and comfort working with large volumes of data/evidence. Working knowledge of excel (e.g. pivot tables, formulas, data review)
Willingness to develop technical compliance and assurance skills.
Work Environment
This job operates in a hybrid, office environment 2 days per week.
#compliance #mid-senior #full-time #LI-DM1 #AFSUK
Please note this job description is not designed to cover or contain a comprehensive listing of activities, duties, or responsibilities required of the employee for this job. Duties, responsibilities, and activities may change at any time with or without notice.
Our Rewards
We offer a robust package of employee perks and benefits, including a market-leading salary with an annual bonus, 28 days of annual leave plus 10 Northern Ireland national holidays, a training and development budget, and a pension matched up to 7%. Our benefits also cover private health insurance for medical, dental, and optical care, and life insurance. We emphasize work-life balance with flexible working hours, parental leave, a modern city center office, and a hybrid work schedule that allows for greater flexibility by partially working from home. Additional perks include monthly catered lunches, unlimited drinks and snacks, hackathon events, poker tournaments, and a charitable matching gift program.
EEO Statement
Apex Fintech Solutions is an equal opportunity employer that does not discriminate on the basis of race, color, religion, sex (including pregnancy, sexual orientation, and gender identity), national origin, age, disability, veteran status, marital status, or any other protected characteristic. Our hiring practices ensure that all qualified applicants receive fair consideration without regard to these characteristics.
Disability Statement
Apex Fintech Solutions is committed to creating an inclusive and accessible workplace for all candidates, including those with disabilities. We are dedicated to ensuring equal employment opportunities and providing reasonable accommodations to qualified individuals with disabilities. If you require reasonable accommodations to participate in the application or interview process, please submit your request via the Candidate Accommodation Requests Form. We will work with you to provide the necessary accommodations to ensure your full participation in our hiring process.
Top Skills
Apex Fintech Solutions Belfast, Northern Ireland Office
5-7 Upper Queen St., Belfast, United Kingdom, BT1 6FB


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