Compliance Manager

Oxbury Bank Plc

Chester

On-site

GBP 45,000 - 65,000

Full time

14 days+

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Benefits offered by this job

Competitive salary
25 days holiday plus bank holidays
Bonus scheme
Free personal training sessions
Private medical healthcare
Employee assistance programme
Life insurance
Enhanced maternity/paternity leave

Job summary

A financial institution based in Chester is seeking a Compliance Manager to lead compliance monitoring and advisory activities. The position requires over 3 years of experience in compliance within the financial services sector. Key responsibilities include managing compliance plans, providing regulatory advice, and delivering training. The role comes with a competitive salary, 25 days holiday, private medical healthcare, and various additional benefits. Please note that sponsorship is not offered for this position.

Qualifications

  • 3+ years of experience in compliance role within financial services.
  • Knowledge of Financial Conduct Authority regulations.
  • Ability to interpret and apply regulatory requirements.

Responsibilities

  • Manage the compliance plan and quality assurance.
  • Provide regulatory compliance advisory support.
  • Oversee data protection requests and compliance training.

Skills

Experience in compliance role
Knowledge of FCA regulations
Analytical skills
Stakeholder management
Proficient in Word and Excel

Education

Degree level or equivalent
Industry recognised compliance qualification

Tools

Word
Excel
PowerPoint
SharePoint
Outlook

Job description

The Compliance Manager is a role which combines compliance monitoring and advisory activity and oversight, reaching out across the breadth of the business.

As Compliance Manager, you will work in alignment with the bank's purpose, values, vision, and strategy. You will work as part of the Second line of Defence Credit and Operational Risk Team, aiming to continually improve and promote a strong risk and compliance culture within the business.

You'll ensure the Compliance framework is risk-based and effective in giving the business and management insight on conduct and regulatory risks, acting as an escalation point for compliance issues, liaising with the wider business areas as necessary.

Role Responsibilities
  • Leading day to day management of the business’ compliance plan. Quality Assurance Methodology and Framework – completing reviews, oversight, assessing controls, providing feedback and support where required.
  • Support the design, delivery and continuous improvement of the annual Compliance Monitoring Plan.
  • Provide regulatory compliance advisory support in articulating regulatory matters, providing business support and advice (e.g. new products, reviews, regulatory change impacts).
  • Manage, support and escalate breaches and risk events.
  • Maintain and update the compliance risk registers and associated controls to ensure alignment with wider operational risk management and the first line operational areas.
  • Provide technical and operational support to the first line Complaints team with FCA-regulated complaints.
  • Provide Compliance Training to all new employees and refresher training to existing colleagues on compliance matters.
  • Oversee data protection requests, in particular; DSARs and deletion requests and supporting the DPO with any enquiries.
  • Maintain oversight of the Conflicts on Interests register, ensuring that associated policies and procedures are applied consistently.
  • Prepare and complete accurate, timely management information (MI) and reports to the required forums and committees, analysing trends and identifying emerging risks.
  • Support the Horizon Scanning process, ensuring that regulatory changes are recorded, assessed and reported in a timely manner.
  • Support with the annual review of associated Policies and Procedures aligned to Compliance matters.
  • Carry out other duties, which may or may not be related to the job, as reasonably requested by management e.g. support with new initiatives or projects.
Required Skills / Experience
  • Experience (ideally 3 years +) of working in a compliance role or similar within the financial services industry.
  • Practical experience and knowledge of Financial Conduct Authority (FCA) regulations including BCOBS, CONC, DISP, Consumer Duty and Conduct Risk.
  • Has the ability to interpret and apply regulatory requirements to provide practical advice to the wider business.
  • Horizon scanning experience.
  • Experience in compliance advice and monitoring background.
  • An understanding of GDPR regulations.
  • Flexible approach to work with a "can do" attitude and the ability to respond flexibly in a changing and fast paced environment.
  • Strong analytical skills to design and provide MI, identify trends, root causes and to articulate the impacts.
  • Excellent stakeholder management experience and strong communication skills to engage with the wider business and cross-functions.
  • Proficient user of Word, Excel, PowerPoint, SharePoint and Outlook.
  • Ideally, you will be educated to degree level or equivalent level of qualification.
  • Industry recognised compliance qualification.
Alongside this we can offer you:
  • A very competitive salary with an excellent benefits package.
  • 25 days holiday, plus 8 days bank holiday (this increases with service).
  • Oxbury Bonus scheme.
  • Free Personal Training session every week.
  • Private Medical Healthcare.
  • Employee Assistance Programme.
  • Life Insurance.
  • Enhanced maternity/paternity leave.

Please note that we do not offer sponsorship with this role.

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