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Compliance Monitoring Analysts x 2

Compliance Professionals

London

On-site

GBP 40,000 - 80,000

Full time

16 days ago

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Job summary

An expanding wealth management firm is seeking a compliance professional to ensure adherence to regulatory requirements and internal policies. This role involves conducting compliance monitoring, assessing client account activities, and supporting the development of compliance policies. The ideal candidate will have experience in financial advisory and fund management sectors, with a strong understanding of FCA regulations and GDPR compliance. Join a dynamic team that values compliance and contributes to maintaining high standards in financial services.

Qualifications

  • Experience in compliance within financial advisory and fund management sectors.
  • Familiarity with FCA regulations and GDPR compliance preferred.

Responsibilities

  • Conduct compliance monitoring to ensure adherence to regulations.
  • Review client account activity to identify compliance risks.
  • Assist in regulatory audits and staff training on compliance.

Skills

Compliance Monitoring
Regulatory Knowledge
Risk Assessment
Financial Regulations
Client Money Protection

Education

Degree in Finance or related field

Job description

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.

THE RESPONSIBILITIES:

  1. Conduct regular compliance monitoring activities to ensure adherence to regulatory requirements and internal policies, including those related to financial advisory, fund management, and client money protections.
  2. Review and assess client account and transaction activity to identify any potential compliance risks or breaches.
  3. Provide support in maintaining compliance with the Financial Conduct Authority (FCA) regulations and General Data Protection Regulation (GDPR).
  4. Assist in the monitoring of fund management processes, ensuring that all regulatory and reporting requirements are met in a timely manner.
  5. Collaborate with various teams to promote a culture of compliance, providing advice and guidance where necessary.
  6. Conduct risk assessments and report findings to senior management, recommending improvements where required.
  7. Assist with the preparation for regulatory audits and inspections.
  8. Stay updated with relevant laws, regulations, and industry trends to ensure ongoing compliance.
  9. Support the development and implementation of internal compliance policies and procedures.
  10. Assist with the training of staff members on compliance-related matters.
  11. Occasionally travel to other UK offices for meetings or compliance-related activities.

EXPERIENCE REQUIRED:

  1. Previous experience in compliance, specifically within financial advisory and fund management sectors.
  2. Experience with custody and clearing functions is highly beneficial.
  3. Familiarity with client money protection regulations and GDPR compliance is preferred.
  4. Strong understanding of financial regulations, particularly those pertaining to the FCA.
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