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Part-time Compliance Manager (Wealth Management)

Willow Resourcing Limited

Liverpool City Region

Hybrid

GBP 40,000 - 85,000

Part time

3 days ago
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Job summary

Willow Resourcing Limited seeks a part-time Compliance Manager to join a growing Financial Services group in wealth management. This flexible position involves developing Compliance strategies, managing risks, and leading compliance operations. Ideal candidates will have strong Compliance experience and a Level 4 Diploma, with the role evolving into a Head of Compliance position.

Qualifications

  • Strong Compliance experience in wealth management.
  • Excellent knowledge of FCA regulations.
  • Ideally hold a Level 4 Diploma in Financial Planning.

Responsibilities

  • Develop and maintain Compliance strategy tailored to each division.
  • Conduct regular risk assessments and establish effective controls.
  • Manage one direct report and report to the CEO.

Skills

Compliance experience
Knowledge of FCA regulations
Ability to challenge business processes

Education

Level 4 Diploma in Financial Planning

Job description

Part-Time Compliance Manager (3 days per week)

Wealth Management

Location: Predominantly Remote but with 2 days per month in the London office

Salary: To £85k + benefits (FTE)

Looking for a flexible working opportunity that does not mean putting your career on hold?

Or simply looking for a stepping stone to an SMF16 role?

This is an opportunity to do exactly that.

It’s part-time, 3 days a week. Which days you work is up to you.

You’ll also be able to work predominantly from home, with just 2 days a month spent in the office (Canary Wharf, London).

From a career development perspective, this role will evolve into a Head of Compliance (SMF16) post in due course. As I said, there’s no need to put your career on hold!

You’ll be working for a growing Financial Services group operating across wealth planning, insurance, workplace pensions and international payments that combines personal, human advice with the use of innovative technology.

Managing 1 direct report and reporting into the CEO (who currently holds the SMF16), you’ll be the Compliance lead for all day-to-day business matters. You’ll develop and maintain a comprehensive Compliance strategy tailored to each division within the Group, monitoring and interpreting relevant laws, regulations and industry standards accordingly.

You’ll create, revise and implement Compliance policies and procedures and communicate Compliance expectations clearly to all stakeholders.

In addition, you’ll conduct regular risk assessments and establish effective controls and investigate any Compliance breaches, recommending appropriate remedial actions.

You’ll have gained strong Compliance experience in a wealth management environment and will ideally hold a Level 4 Diploma in Financial Planning (or similar).

You’ll have an excellent working knowledge of FCA regulations impacting the wealth management arena and will be confident operating as ‘critical friend’, with the ability to proactively challenge the business to identify areas for improvement.

Interested?

Click apply.

Not got an up to date CV?

Don’t worry, you can always give me (Mark) a call on 0121 274 0357 for an informal chat or email me at We’ll pick it up from there.

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