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Compliance Officer - Muti Strat Hedge Fund

JR United Kingdom

Chester

On-site

GBP 60,000 - 85,000

Full time

4 days ago
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Job summary

A leading multi-strat hedge fund in Chester seeks a Compliance Officer to manage compliance operations alongside the Head of Compliance. The role demands 4-8 years of financial services experience, with a focus on regulation and compliance. Candidates will foster a culture of compliance through training and monitoring, ensuring adherence to FCA and SEC guidelines.

Benefits

Focus on sustainability
Professional growth
Great Place to Work culture

Qualifications

  • 4-8 years in financial services, preferably in hedge funds.
  • Generalist compliance experience.
  • Knowledge of FCA & SEC regulations.

Responsibilities

  • Developing training programs for compliance education.
  • Managing routine compliance monitoring and reporting.
  • Reviewing marketing materials for regulatory compliance.

Skills

Compliance education
Market abuse monitoring
Researching legal developments
Regulatory reporting
Communication

Job description

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Compliance Officer - Multi Strat Hedge Fund, Chester

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Client:

Coopman Search and Selection | B Corp

Location:

Chester, United Kingdom

Job Category:

Other

-

EU work permit required:

Yes

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Job Views:

4

Posted:

04.06.2025

Expiry Date:

19.07.2025

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Job Description:

Coopman Search and Selection is partnering with a top-tier multi-strat hedge fund with approximately $3 billion AUM, seeking to hire a Compliance Officer. The role involves working alongside the Head of Compliance and a compliance analyst.

You will be an experienced member of the compliance team, supporting the global compliance program's daily operations.

Key Responsibilities:
  • Developing training programs for effective compliance education
  • Managing the routine compliance monitoring program
  • Performing market abuse monitoring and trade reviews
  • Researching new legal and regulatory developments
  • Maintaining compliance registers (personal trading, breaches, errors, incidents, gifts, entertainment)
  • Managing restricted lists and sanctions monitoring
  • Preparing compliance reports for the board and clients
  • Reviewing marketing materials and advising on marketing regulations across jurisdictions
  • Handling regulatory reporting and staff attestations
Experience Required:
  • 4-8 years in financial services, preferably in hedge funds or asset management
  • Generalist compliance experience
  • Knowledge of FCA & SEC regulations
  • Understanding of fund structures like UCITS, Cayman, managed accounts
  • High energy, drive for excellence, stamina, and ability to thrive in a fast-paced environment

For a confidential discussion or more information, please contact [emailprotected]

As a Certified B Corporation, we operate with a focus on sustainability and stakeholder interests, fostering professional growth and collaboration as a Great Place to Work.

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