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Senior Administrator, Compliance Monitoring

jobs.jerseyeveningpost.com-job boards

United Kingdom

On-site

GBP 35,000 - 45,000

Full time

Today
Be an early applicant

Job summary

A respected organization in the United Kingdom is seeking a Senior Administrator to support their Compliance Monitoring Programme. This role involves conducting compliance testing, providing input on improvements, and fostering a strong compliance culture. The ideal candidate should have at least 5 years of experience in the financial services industry and excellent organizational skills.

Benefits

Professional development opportunities
Collaborative working culture

Qualifications

  • Minimum 5 years' experience in the financial services industry.
  • Self-motivated, flexible, and adaptable.
  • Committed to fostering a compliance-focused culture.

Responsibilities

  • Conduct CMP testing and document findings.
  • Provide input on enhancements based on testing outcomes.
  • Liaise with business teams for resolutions on CMP findings.

Skills

Organisational skills
Attention to detail
Team player

Education

Relevant professional qualification
Job description
Overview

Our client is seeking a Senior Administrator to support their Compliance Monitoring Programme (CMP) on a full-time basis. This permanent role offers an excellent opportunity to contribute to an established compliance function by conducting testing, supporting regulatory reporting, and encouraging a culture of compliance throughout the organisation.

Responsibilities
  • Conduct CMP testing in line with the CMP schedule, documenting findings for review
  • Provide input on enhancements to the CMP based on testing outcomes
  • Liaise with business teams to support timely resolution of CMP findings
  • Assist in preparing management information and compliance-related reports
  • Recommend improvements to internal procedures identified during CMP testing
  • Support other compliance team members when required
  • Promote a strong compliance culture within the organisation
  • Respond to employee queries on AML, CFT, CPF, and other regulatory matters
  • Undertake ad hoc projects and duties relevant to the role
  • Maintain strong working relationships across the organisation
  • Ensure work adheres to internal procedures
  • Protect the confidentiality and security of client information and records
  • Monitor personal performance against objectives and development goals
  • Highlight any additional training needs to the Head of Risk & Compliance
  • Maintain accurate records and KPIs
  • Record continuing professional development activity
  • Complete anti-money laundering training as required
  • Stay up to date with relevant regulatory legislation and guidance
Qualifications
  • Relevant professional qualification
  • Minimum 5 years' experience in the financial services industry
  • Strong organisational skills and excellent attention to detail
  • Self-motivated, flexible, and adaptable
  • Professional, dependable, and trustworthy with a collaborative attitude
  • Confident working with others and a strong team player
  • Committed to fostering a compliance-focused culture
What You\'ll Love

You will be joining a respected organisation where compliance is at the heart of the operation. This role offers the chance to influence positive change within internal processes and help build a strong regulatory environment. With professional development opportunities and a collaborative working culture, you will be well supported as you grow your career in compliance.

Interested? Register today, confidentially, with one of our friendly and dedicated recruitment specialists by clicking here.

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