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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.
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:
EXPERIENCE REQUIRED: