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Senior Compliance Manager (Ipswich)

BCM Global

Ipswich

On-site

GBP 60,000 - 80,000

Full time

Today
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Job summary

A mortgage services firm in the UK is seeking a Senior Compliance Manager to lead and ensure compliance with FCA regulations and risk management in the mortgage administration sector. The ideal candidate will have proven compliance experience, excellent analytical and communication skills, and a relevant compliance qualification. This is an excellent opportunity to progress your career in a dynamic environment committed to compliance excellence.

Benefits

Dynamic work environment
Opportunity for career progression
Strong compliance commitment

Qualifications

  • Proven compliance experience in a UK-regulated financial services firm.
  • Strong knowledge of FCA regulations, MCOB, SMCR, SYSC, and AML requirements.
  • Experience in implementing compliance monitoring programs and risk assessment.
  • Minimum 3 years' experience at a management level in a compliance role.

Responsibilities

  • Ensure full compliance with FCA rules, including MCOB.
  • Maintain and enhance compliance policies and procedures.
  • Oversee compliance with SYSC 8.
  • Conduct regulatory risk assessments.
  • Provide periodic compliance reports to senior management.

Skills

Proven compliance experience
Strong analytical skills
Excellent communication skills
Ability to manage multiple tasks
Proactive team player

Education

Relevant Compliance Qualifications (e.g., ICA or equivalent)
Job description

Rooftop Mortgages Ltd (Part of the BCMGlobal Group) is seeking a highly skilled Senior Compliance Manager to lead regulatory compliance within our Mortgage Administration business. This critical role ensures that we remain fully compliant with Financial Conduct Authority (FCA) regulations while managing regulatory risks and providing expert compliance advisory support.

Responsibilities:
  • Ensure full compliance with FCA rules, including the Mortgage Conduct of Business (MCOB) sourcebook.
  • Maintain and enhance compliance policies and procedures to align with regulatory expectations.
  • Oversee compliance with SYSC 8, ensuring effective outsourcing and operational risk management.
  • Manage and implement a risk-based compliance monitoring plan.
  • Conduct regulatory risk assessments in line with the company's risk framework.
  • Provide periodic compliance reports to senior management and the board.
  • Provide expert advice on regulatory changes, including Consumer Duty and Anti-Money Laundering (AML) obligations.
Qualifications:
  • Proven compliance experience in a UK-regulated financial services firm (mortgage sector preferred).
  • Strong knowledge of FCA regulations, MCOB, SMCR, SYSC, and AML requirements.
  • Experience in implementing compliance monitoring programs and risk assessment.
  • Strong analytical skills with the ability to interpret and apply regulatory frameworks.
  • Excellent communication skills with the ability to engage with senior stakeholders.
  • Ability to manage multiple tasks and prioritise activities.
  • A key individual looking to progress to the next level in their career
  • A proactive team player who can work independently and collaboratively.
  • Relevant Compliance Qualifications (e.g., ICA or equivalent).
  • Minimum 3 years' experience at a management level in a compliance role.

Why Join Us? Work in a dynamic, growing mortgage services firm with a strong commitment to compliance and integrity. Be a key player in shaping regulatory compliance strategies. If you have the expertise, leadership, and drive to ensure compliance excellence, we'd love to hear from you!

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