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Financial Crime Compliance Advisor

Mayer Brown LLP

London

On-site

GBP 45,000 - 70,000

Full time

3 days ago
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Job summary

Mayer Brown LLP is seeking a Financial Crime Compliance Advisor to join their Legal Risk Management team in London. The role involves supporting compliance with AML/CTF laws and providing legal assistance. Candidates should have a strong academic background and skills in regulatory compliance, analysis, and communication. An inclusive work environment is promoted within the firm, providing support and development opportunities for all employees.

Qualifications

  • Knowledge of financial crime laws including sanctions and anti-bribery.
  • Ability to handle sensitive matters confidentially.
  • Proactive and enthusiastic with a commitment to risk and compliance.

Responsibilities

  • Assist the financial crime compliance team with risk assessments.
  • Support regulatory audits and maintain compliance oversight.
  • Develop and deliver training programs for staff.

Skills

Knowledge of AML/CTF laws
Strong analytical skills
Effective communication
Excellent writing skills
Prioritization of varied workload
Problem-solving abilities
Good IT skills

Education

Strong academic background

Job description

Overview

Mayer Brown is an international law firm positioned to represent the world’s major corporations, funds, and financial institutions in their most important and complex transactions and disputes. We are recognised by our clients as strategic partners with deep commercial instincts and a commitment to creatively anticipating their needs and delivering excellence in everything we do.

We are a collegial, collaborative, and diverse firm where highly motivated individuals with an unwavering commitment to excellence receive the opportunity, support, and development they need to grow, thrive, and realise their greatest potential all while supporting the Firm’s client service principles of excellence, strategic partnership, commercial instinct, integrated strengths, innovation, and collaboration across our international firm.

If you enjoy working with team members whose defining characteristics are exceptional client service, initiative, professionalism, responsiveness, and adaptability, you may be the person we are seeking to join our Legal Risk Management team as a Financial Crime Compliance Advisor in our London office.

The Role:

Financial Crime Compliance Advisor (FCC Advisor)

The Firm has established a Financial Crime Compliance team within its Legal Risk Management and Risk Management Services functions to oversee the Firm's compliance with AML/CTF, sanctions, anti-bribery (ABC) and other financial crime laws. The Head of FCC is responsible for harmonising the Firm's cross-border approach to financial crime compliance, developing policies and procedures and training and mentoring compliance staff.

The FCC Advisor will report to the Head of Financial Crime Compliance and will provide day to day legal assistance to the financial crime compliance team.

Responsible to:

Head of Financial Crime Compliance (Head of FCC)

Hours:

9:30 a.m. to 5:30 p.m. with flexibility in accordance with the needs of the business. We are happy to consider flexible working arrangements.

Responsibilities

Provide day to day assistance to the financial crime compliance team, including carrying out risk assessments, reviewing risk ratings and requests for CDD exemptions and responding to queries from clients, lawyers & support staff and financial crime compliance staff. Assisting with responses to regulatory audits. Advising on sanctions related intake matters.

Keep abreast of key financial crime compliance legal and regulatory developments. Support the Head of FCC in oversight of compliance with other financial crimes such as anti-bribery, tax disclosure regimes and failure to prevent offences as applicable to lawyers throughout the global firm.

Support the Head of FCC in developing and delivering training programs for lawyers, support staff and the compliance team.

Qualifications

Strong academic background.

Experience, skills and personal attributes:

  • Knowledge of AML/CTF laws and other financial crime laws such as sanctions, anti-bribery and tax disclosure regimes in local region;
  • Strong analytical skills; able to analyse facts and scenarios quickly and thoroughly;
  • Able to proactively solve problems in a methodical, practical way;
  • Effective communicator and able to disseminate complex topics clearly, with credibility and confidence;
  • Excellent writing skills;
  • Able to prioritise a varied workload and to work to tight deadlines with minimal supervision;
  • Practical and pragmatic approach;
  • Enthusiastic and pro-active;
  • Good team worker, willing to chip in and help others;
  • Responsive and able to work under pressure;
  • An ability to handle sensitive matters confidentially and with discretion;
  • Commitment to a career within risk and compliance;
  • Good IT skills/tech savvy.

At Mayer Brown International LLP, we are committed to creating an inclusive work environment that offers our people the opportunity and support they need to succeed.

Our culture promotes mutual respect, acceptance, cooperation and productivity among people from varying backgrounds and values different perspectives and ideas.

One of our core values at Mayer Brown is to promote diversity and inclusion at all levels within the business which is actively supported by our diversity networks - LGBT+, Fusion (Race & Ethnicity), Multi-faith, Women, Enable (Disability) and Work and Me (Family).

We are happy to discuss any reasonable adjustments that individuals may require throughout the recruitment process and once they have joined the Firm.

#LI-DNI

#LI-SW21

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