Risk Lawyer - Compliance

Cyan Partners

Greater London

On-site

GBP 90,000 - 150,000

Full time

10 days ago
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Job summary

Global Law Firm is seeking a Regulatory Compliance Lawyer with 5+ years PQE to join its risk and compliance function. The role focuses on advising senior management on regulatory and conduct issues across multiple jurisdictions, with responsibilities for policy implementation and incident response.

The ideal candidate will have in-house or law-firm experience, strong communication skills, and the ability to relate to stakeholders at all levels.

Qualifications

  • Qualified lawyer with 5+ years PQE in a large firm or equivalent.
  • Experience advising on SRA/FCA and ESG regulatory regimes.

Responsibilities

  • Advise senior management on regulatory compliance and professional conduct across jurisdictions.
  • Raise awareness, train colleagues on regulatory requirements, and implement new policies.
  • Supervise and mentor junior team members while handling sensitive and confidential matters.

Skills

Regulatory compliance
Regulatory risk
Stakeholder communication
Training & mentoring

Education

Qualified solicitor/barrister

Job description

Global Law Firm - Regulatory Compliance Lawyer

Our client is a world-class international law firm with over 5000 employees globally in 21 countries with 30 offices. It frequently appears as a top employer for women, families and LGBTQ+ and is advancing social mobility.

The global fee-earning population is supported by a superb team of legal and risk lawyers and advisors ensuring there is effective risk management and compliance in every jurisdiction.

We are seeking a qualified practicing lawyer with around 5+ years' PQE gained in a large national or international law firm to join the firm's risk and compliance team. The role will be a trusted advisor to the firm's senior management team and will be instrumental in providing advice on regulatory compliance and professional conduct issues.

The role involves raising awareness and training colleagues about current regulatory requirements, horizon scanning and supporting the firm to implement new policies and procedures where necessary, managing internal incidents and breaches of regulation, and responding to enquiries from fee-earners on best practice. Your knowledge will need to span SRA and other regulatory regimes, such as FCA, it will also include ESG risk and regulatory requirements.

The ideal candidate will be a mid-to-senior level lawyer who has previous experience of working in-house in a law firm legal function, although we will consider other professional services firms and comparable organisations. You must be able to demonstrate prior experience of the requirements listed above and have a desire to develop your knowledge further.

The key to this role is being able to relate to stakeholders at all levels and you must have strong communications skills. You should be able to deal with complex and forensic issues as they arise and provide clear and concise advice to the firm's fee-earners and partners. The role will require the postholder to work at a senior level across numerous jurisdictions, so it is essential that you are confident, approachable, diplomatic and able to command respect. The issues that arise are often sensitive and confidential in nature and the role directly relates to the risk profile of the firm. You will also be required to supervise and mentor junior members of the team.

We are seeking an individual with a focused, can-do attitude and a desire to inspire and motivate others. You must be a team player who enjoys collaboration and is able to develop strong and lasting relationships across the firm. It is essential you can have strong commercial acumen and can demonstrate a balanced approach to business risks.

This role offers a challenging and rewarding role and an opportunity to make a difference in a leading global business.

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