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Exclusive - Head of Compliance & MLRO | Sheffield, UK | Hybrid

CLARC Recruitment

Sheffield

On-site

GBP 150,000 - 200,000

Full time

30+ days ago

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Job summary

An established industry player is seeking a Head of Compliance & MLRO for a unique lending platform. This pivotal role involves developing compliance frameworks, ensuring regulatory adherence, and acting as the main point of contact for regulatory bodies. The ideal candidate will have a strong background in compliance leadership within financial services and a deep understanding of AML and fraud prevention. This position offers an exciting opportunity to shape compliance strategies while ensuring fair outcomes for consumers. If you are passionate about compliance and ready to take on a leadership role, this is the perfect opportunity for you.

Qualifications

  • Experience in a compliance leadership role within financial services.
  • Strong understanding of AML and fraud regulations.

Responsibilities

  • Develop and maintain a robust compliance framework per regulations.
  • Act as the primary contact with regulators and oversee AML programs.

Skills

Compliance Leadership
Anti-Money Laundering (AML)
Fraud Prevention
Regulatory Reporting
Financial Crime Regulations

Education

SMF16/17 Authorisation

Job description

We are exclusively recruiting a Head of Compliance & MLRO (SMF16/17) for a unique lending platform which allows us to offer full lending services in real time. The Head of Compliance will play a critical role in establishing, monitoring, and enforcing compliance policies, procedures, and controls to demonstrate adherence to regulatory requirements and ensuring fair outcomes to consumers. The individual will act as the principal compliance advisor to the business and serve as the main point of contact for regulatory bodies.

The ideal candidate will be based in Sheffield, but the client will consider candidates in London who will be required to visit the Sheffield office on a regular basis.

Main Responsibilities

  1. Develop, implement, and maintain a robust compliance framework in line with financial regulations and best practices. This will include writing, developing, and maintaining comprehensive compliance policies and procedures in line with regulatory requirements and industry best practices.
  2. Ensure adherence to all relevant laws, regulations, and industry guidelines, including CONC, PRIN (Consumer Duty), DISP, and CCA regulations.
  3. Provide guidance and advice to the business on the FCA rules (including Consumer Duty and the Consumer Credit Sourcebook).
  4. Act as the primary contact with regulators and ensure timely reporting and communication on compliance matters.
  5. Oversee Anti-Money Laundering (AML) and Fraud Prevention programs.
  6. Serve as the designated MLRO, ensuring timely filing of Suspicious Activity Reports (SARs) and liaising with law enforcement agencies where necessary.
  7. Prepare and present compliance reports to the Board of Directors and senior management.
  8. Advise the business on compliance risks related to new products, services, and markets.

Job Requirements:

  1. Previously authorised as an SMF16/17 with the FCA.
  2. Proven experience in a compliance leadership role within the financial services.
  3. Proven experience working as a Compliance Officer in the financial services industry, with a focus on the Consumer Finance Sector.
  4. Strong understanding of AML, Fraud, and broader financial crime regulations.
  5. Experience in dealing with regulatory bodies and preparing regulatory reports.

Unless otherwise stated, candidates must have the right to work in the UK.

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