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Chief Risk Officer

Brooks Macdonald

London

On-site

GBP 100,000 - 200,000

Full time

7 days ago
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Job summary

An established industry player is seeking a Chief Risk Officer to lead the Risk and Compliance teams. This pivotal role involves defining and implementing strategic plans that align with business needs and growth aspirations. The CRO will ensure adherence to regulatory requirements while fostering a risk-aware culture throughout the organization. You will be responsible for advising the Executive Committee, managing budgets, and overseeing the development of direct reports. This is an exceptional opportunity for a seasoned executive to influence the strategic direction of a dynamic organization.

Qualifications

  • Significant experience in risk, governance, and compliance at a senior level.
  • Deep knowledge in risk management and compliance in investment management.

Responsibilities

  • Evolve the Risk and Compliance function and establish effective processes.
  • Advise the Executive Committee on strategy and business management.

Skills

Risk Management
Compliance Management
Governance
Stakeholder Engagement
Change Leadership

Education

Degree in Finance or Related Field
Professional Risk Management Certification

Job description

The Chief Risk Officer (CRO) is a key member of the Executive Committee at Brooks Macdonald, responsible for overseeing the Risk and Compliance teams. This role is pivotal in driving the overall success, growth, and development of the Group. The CRO is accountable to shareholders for creating and delivering sustainable shareholder value through effective management and leadership of the Group’s business. The role ensures that the Group's purpose, values, guiding principles, and strategy are aligned with the delivery of long-term value, providing strategic direction within a framework of rewards, incentives, and controls.

The CRO will define and implement a strategic plan for Group Risk and Compliance, ensuring it meets current business needs and future growth aspirations. This involves scoping the Risk and Compliance frameworks and processes, enhancing team capabilities, and fostering engagement with the business.

This role is in scope of the FCA Senior Manager & Certification Regime.

This appointment is subject to regulatory approval by the FCA.

SMF role holders have a Duty of Responsibility under the Financial Services and Markets Act 2000 (FSMA) and must also adhere to the FCA Conduct Rules.

You will be subject to a Fit & Proper assessment before you start in role and Annual F&P Assessments thereafter to ensure you remain ‘Fit & Proper’ to hold a regulatory role.

Role Responsibilities:

  • Evolve the Risk and Compliance function through development and maintenance of effective processes, covering all areas of Risk and Compliance and establishing implementation and escalation procedures
  • Advising, guiding and challenging the ExCo in the setting of strategy and the management of the business including preparing for and implementing key initiatives
  • Create and maintain Group frameworks to meet governance, risk, and regulatory requirements, including establishing a robust risk management framework
  • Contributing to the development and evolution of the Group strategy and ensuring the business plans for the Risk and Compliance function complement the strategy
  • Proposing and managing the Risk and Compliance budget through careful control of costs, monitoring and reporting on variances
  • Manage and lead the Risk and Compliance function through development of direct reports
  • Oversee “third line of defence” activities under the guidance of the Group Risk & Compliance Committee, including external resource management
  • Maintain effective relationships with NEDs, particularly the Chair of Risk, the Group CEO, fellow Executive Committee members, and their teams, ensuring balanced counsel and effective challenge
  • Lead the ongoing development of a risk-aware culture across the business, influencing attitudes towards risk
  • Ensure climate-related risks and opportunities are identified, monitored, and managed through the risk management framework and in line with risk appetite
  • Perform role always ensuring adherence to the expected behaviours stated in the FCA Conduct Rules

Knowledge, Skills and Experience:

  • Significant experience as a risk, governance, and/or compliance management executive, operating at a senior level in a complex, matrixed organisation
  • Broad-based experience of financial services industry and ideally the breadth of investment management experience specific to the Brooks Macdonald business
  • Deep knowledge in risk management and compliance, particularly in asset, investment, or wealth management sectors. Strong understanding of operational elements of a risk management framework and relevant regulatory requirements
  • Familiarity with Internal Audit planning and delivery is advantageous
  • Experience engaging with regulators, shareholders, and the broader stakeholder community, as well as advisers
  • Demonstrable change leadership experience, capable of leading policy and process development and driving implementation
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