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Head of Compliance

Venn Group

Greater London

On-site

GBP 130,000 - 150,000

Full time

5 days ago
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Job summary

A leading recruitment agency is looking for an experienced Head of Compliance for their London Branch. This senior role involves developing the compliance framework, ensuring regulatory adherence, and fostering a strong culture of governance. The ideal candidate has extensive experience in UK regulatory compliance within financial services, proven leadership skills, and the ability to influence senior stakeholders. A competitive salary of £130K - £150K is offered for this full-time position.

Qualifications

  • Extensive senior-level experience in UK regulatory compliance within financial services.
  • Strong knowledge of FCA/PRA requirements and ABC regulations.
  • Proven leadership experience engaging with regulators.

Responsibilities

  • Develop and maintain compliance policies and monitoring frameworks.
  • Communicate policies and regulatory changes within and outside the Branch.
  • Conduct regular compliance risk and control assessments.

Skills

Extensive senior-level experience in UK regulatory compliance within financial services
Strong knowledge of FCA/PRA requirements
Proven leadership experience
Excellent communication skills
Strong analytical and risk assessment capabilities
Job description

Head of Compliance – London Branch

Salary - £130K - £150K

Location: London
Role Type: Full-time, Senior Leadership Position

Our client is seeking an experienced Head of Compliance to lead, develop and embed the compliance framework within the London Branch. This is a senior role responsible for ensuring the Branch meets all UK regulatory and legal requirements, aligns with Head Office policies, and maintains a strong culture of governance, conduct and integrity.

Key Responsibilities

  • Develop, implement and maintain compliance, conduct and anti-bribery and corruption (ABC) policies, procedures and monitoring frameworks.
  • Communicate policies and regulatory changes across the Branch and with Head Office.
  • Manage requests for policy exceptions and support the definition of the Branch’s compliance risk appetite.
  • Oversee First Line of Defence and outsourced activities, monitoring compliance with UK regulations and branch policies.
  • Conduct regular compliance risk and control assessments and recommend improvements.
  • Provide Management and Head Office with timely reporting on regulatory, conduct and ABC risks, including conflicts, gifts, complaints and policy breaches.
  • Keep the Branch informed of legal and regulatory developments and advise on required actions.
  • Provide expert advice and deliver training on compliance, conduct and SM&CR requirements.
  • Act as the main point of contact for regulators, managing regulatory requests, inspections and follow-up actions.
  • Ensure timely and accurate regulatory reporting and support Management with legal cases when needed.

Requirements

  • Extensive senior-level experience in UK regulatory compliance within financial services.
  • Strong knowledge of FCA/PRA requirements, conduct risk frameworks and ABC regulations.
  • Proven leadership within a second-line function and experience engaging with regulators.
  • Excellent communication skills and the ability to influence senior stakeholders.
  • Strong analytical and risk assessment capabilities.
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