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Compliance Manager (Advice)

Campion Pickworth

London

Hybrid

GBP 50,000 - 80,000

Full time

30+ days ago

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Job summary

An established bank is seeking an experienced Compliance Manager to join their London office with hybrid working. This role is crucial in delivering clear guidance on meeting regulatory requirements and ensuring effective systems and controls are in place. The ideal candidate will have a strong background in compliance within the financial services sector, with detailed knowledge of conduct risk management and FCA regulations. This is a fantastic opportunity to play a key role in shaping compliance strategies and ensuring the bank's adherence to regulatory standards, making a significant impact in a dynamic environment.

Qualifications

  • Experience in compliance or conduct risk within financial services.
  • Knowledge of FCA handbooks and conduct risk management.

Responsibilities

  • Act as compliance representative on key regulatory projects.
  • Provide advice and solutions to compliance issues.
  • Contribute to the development of compliance frameworks.

Skills

Compliance Management
Conduct Risk Management
Regulatory Knowledge
FCA Handbook Knowledge
Retail Banking Knowledge

Education

Formal Professional Compliance Qualifications
Ce-map 3 Qualification

Job description

About the job Compliance Manager (Advice)

Our client, an established bank, is looking to recruit an experienced Compliance Manager within their London office, with hybrid working. The manager will work as part of the Compliance Team in delivering practical and clear guidance on how to effectively meet new and existing conduct regulatory requirements, and proactively help to ensure that the bank implements effective systems and controls and to escalate any material issues identified.

Role Responsibilities:

  1. Acting as compliance representative on key business and regulatory projects and initiatives.
  2. Providing advice and identifying potential solutions to issues as they arise.
  3. Contributing to the development and maintenance of the regulatory and conduct risk frameworks, Compliance Universe, policies and procedures.
  4. Contributing to the identification, assessment, communication, tracking and reporting of conduct regulatory change matters facing the business.

Qualifications and Experience Required:
  1. Previous experience in a compliance or conduct risk role within the financial service industry.
  2. Detailed knowledge of the conduct and regulatory environment.
  3. Thorough understanding of conduct risk management and promoting good customer outcomes.
  4. Detailed working and practical knowledge of the FCA handbooks and their application in practice.
  5. Knowledge of retail banking and associated products is desirable.
  6. Formal professional compliance qualifications and/or Ce-map 3 qualification are desirable.
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