Head of Institutional Compliance – EXCLUSIVE

ScreenedJust posted
Greater London
Posted 1 day ago
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About the role

THE COMPANY

Our client is an expanding wealth management firm, offering a broad range of services across financial planning, investment management through to settlement and custody services.

UCITs / Institutional Asset Management experience is required for this role.

THE RESPONSIBILITIES

  • Develop, implement and maintain robust compliance framework, policies, and procedures in accordance with relevant regulatory requirements, industry best practices, internal guideline and in conjunction with the Group GRC Director.
  • Providing regulatory advice and guidance to all parts of the division including the board/senior management
  • Manage a small team, provide coaching and mentorship to junior team members.
  • Ensuring effective implementation of anti-money laundering and counter-terrorism financing (AML/CTF) measures.
  • Oversee regular risk assessments, compliance reviews, and audits to identify and address any compliance gaps or weaknesses.
  • Stay up-to-date with regulatory developments, industry trends, and emerging risks to ensure timely implementation of necessary changes and enhancements to the compliance program.
  • Develop, review, and maintain Compliance policies, procedures and information to the business, covering all core regulatory and legislative requirements.
  • Providing advice and guidance to Group Compliance to assist them in embedding appropriate training and development to maintain ongoing competence in all areas.
  • Feed into the Group thematic monitoring plan.
  • Review and approve marketing material and presentations and assist
  • Work in partnership with senior stakeholders across the pillar and wider business to implement and embed an appropriate culture that promotes an understanding and knowledge of regulation.
  • Oversee regulatory returns submissions to all relevant authorities with particular emphasis on FCA returns..
  • Contact point for compliance related queries by the ACD and ManCo
  • Assist in the Compliance due diligence process for ACD’s and ManCo’s.
  • Monitoring, recording, and dealing with complaints against the regulated firm(s).
  • Drafting and maintaining corporate governance documents in conjunction with Group policies.
  • Have a good knowledge of topical and relevant regulatory regimes such as, but not limited to, MiFID 2, Consumer Duty, UCITS, ICAV, GDPR, SMCR and Consumer Duty regulations.
  • Performing and supporting work relating to one-off compliance and regulatory projects, as these arise from time-to-time.
  • To carry out other duties as may reasonably be required.

EXPERIENCE REQUIRED

  • At least 5 years’ experience in a similar post in compliance within the financial services wealth sector
  • Demonstrated experience in developing and implementing compliance programs, policies, and procedures.
  • Diploma (or equivalent) qualification in compliance, regulation and/or AML and Financial Crime
  • Exceptional communication and interpersonal skills, with the ability to effectively collaborate with stakeholders at all levels.
  • Strong analytical and problem-solving skills with the ability to assess complex situations and make sound decisions.
  • Excellent time management skills
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