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Compliance Manager - Part time

JR United Kingdom

London

Hybrid

GBP 50,000 - 90,000

Part time

2 days ago
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Job summary

An innovative boutique hedge fund is looking for a Compliance Manager to join their London team in a part-time capacity. This role offers the flexibility of a hybrid work pattern, allowing you to balance office presence with remote work. You will play a crucial role in overseeing compliance responsibilities, ensuring adherence to UK and US regulations. Ideal for seasoned professionals with over a decade of experience, this permanent position offers a unique opportunity to contribute to a dynamic financial environment while maintaining a work-life balance.

Qualifications

  • Over 10 years of compliance experience in hedge funds or asset management.
  • Strong understanding of UK and US regulatory frameworks.

Responsibilities

  • Conduct compliance monitoring reviews and provide regulatory advice.
  • Draft and implement compliance policies and procedures.

Skills

Compliance Monitoring
Regulatory Reporting
Policy Drafting
Stakeholder Communication

Education

Degree in Finance or Law

Job description

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Compliance Manager - Boutique Hedge Fund, London (Part-Time)

One Ten Associates is partnering with a boutique hedge fund seeking to hire a Compliance Manager for their London office. This is a part-time role, working 3 days a week with a hybrid pattern of 2 days in the office and 1 day remote.

This is a permanent position, ideal for candidates seeking a long-term, part-time role, not a short-term or interim opportunity.

The Compliance Manager will oversee general compliance responsibilities, reporting to the COO (who also holds SMF16/17 functions). The fund is regulated by the FCA and SEC, providing exposure to UK and US regulatory frameworks.

The key responsibilities include:

  1. Carrying out compliance monitoring reviews and surveillance.
  2. Providing regulatory advice to senior stakeholders.
  3. Drafting, updating, and implementing compliance policies and procedures.
  4. Conducting regulatory reporting to FCA, SEC, and other relevant authorities.

The ideal candidate will have over 10 years of relevant compliance experience, preferably within a hedge fund, asset management firm, or family investment office.

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