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Senior Compliance Manager - Private banking / Wealth management, 6 month FTC

Compliance Professionals

City Of London

On-site

GBP 55,000 - 75,000

Full time

3 days ago
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Job summary

A global financial institution in London is seeking a Compliance Officer to oversee compliance activities, manage regulatory changes, and provide training to business units. Ideal candidates will have over 5 years of experience in compliance and relevant qualifications. This role offers significant responsibility within a fast-paced financial environment.

Qualifications

  • 5+ years of professional experience within compliance required.
  • Desirable background in legal, compliance or auditing.

Responsibilities

  • Carry out compliance advisory and monitoring activities.
  • Manage and advise on compliance policies.
  • Prepare and deliver training on regulatory requirements.

Skills

Regulatory compliance
Risk assessment
Policy writing
Training preparation

Education

Compliance qualifications or CISI qualification
Job description

THE COMPANY: We have been instructed by an international corporate & specialist finance bank who has their European hub in London. They provide a range of corporate banking, transactional and real estate services.

THE RESPONSIBILITIES:

  • Carry out regulatory and various other compliance advisory, monitoring and ad hoc activities, in particular, by completing delegated tasks by the Head of Compliance.
  • Business Partner to business areas allocated by Head of Compliance.
  • Responsible for SMCR scheme.
  • Writing reviewing and implementation of Compliance Policies
  • Responsible for Horizon scanning, assessing impact and advice to business of regulatory changes and running the Regulatory change working group.
  • Preparing guidance and training on new and existing regulatory and certain legal requirements (and on any remedial action to address identified existing shortcomings) to business units.
  • Departmental procedures and documentation templates (including Key Facts and client agreements and notices) and delivering or approving training.
  • Approval of financial promotions and other communications
  • Advice and oversight of Consumer Duty for business areas.
  • Management of complaints for business areas.
  • Regulatory reporting tasks as allocated
  • Responsible for preparing and reporting on KRI’s as allocated by Head of Compliance
  • Responding to ad hoc requests for advice and assistance.
  • Reviewing and reporting on adherence to regulatory and legal requirements in accordance with the annual Compliance Monitoring Programme or as other risk based monitoring requirements are identified.
  • Maintaining records of regulatory change and compliance department recommendations for changes to existing policy or procedures, including action being taken and confirming completion of that action.
  • Drafting regular reports for management, including the Operational Risk, Management and Audit & Compliance Committees and Group Compliance.
  • Preparing or reviewing regulatory periodic or ad hoc returns, (especially fee data, CMAR, controllers, close links, complaints, RDR & MMR) including assistance with thematic review responses.
  • Advising and liaising with operational departments to implement changes in operational processes arising from new regulations, business developments, and compliance review findings.

EXPERIENCE REQUIRED:

  • A total of 5+ years’ professional experience within Compliance is required.
  • Desirable background in legal or compliance or auditing
  • Desirable to have Compliance qualifications/ CISI qualification

Please note that for further information, you should contact the relevant person.

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