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Senior Group Compliance Analyst

Howett Thorpe

Farnham

Hybrid

GBP 80,000 - 100,000

Full time

6 days ago
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Job summary

A leading accountancy practice in the UK is seeking a Senior Group Compliance Analyst to join their compliance team. This is an exciting opportunity for someone with at least 2 years of regulatory experience to support the firm's compliance framework and work with senior stakeholders. The role offers hybrid working, competitive benefits, and the chance to make a significant impact on compliance practices.

Benefits

25 days holiday
Health and wellbeing support
Unrivalled career progression opportunities
Hybrid and flexible working

Qualifications

  • At least 2 years’ regulatory experience in professional services or a regulatory body.
  • Knowledge of AML, CDD processes, and compliance frameworks.
  • UK driving licence for travel between offices.

Responsibilities

  • Support the development and delivery of the group-wide compliance and risk strategy.
  • Maintain and update compliance policies and risk assessments.
  • Provide advice on regulatory requirements and best practices.

Skills

Attention to detail
Organizational skills
Excellent communication
Stakeholder management
Proactive approach
Job description

We are delighted to be working with one of the fastest-growing Top-50 accountancy practices in the UK. They are looking for a Senior Group Compliance Analyst to join their expanding compliance team. This is a fantastic opportunity to develop your career, take on real responsibility, and contribute to a business that values growth, innovation, and professional development.

Reference no: 15902f

Senior Group Compliance Analyst – Benefits
  • 25 days holiday
  • Health and wellbeing support
  • Unrivalled career progression opportunities
  • Hybrid and flexible working
Senior Group Compliance Analyst – About The Role

In this role, you will work closely with the Integration and Compliance Director and Group Compliance Manager to implement and maintain the firm’s compliance and risk framework. You will play a key role in advising on regulatory requirements, updating policies and procedures, and supporting a culture of compliance across the business.

The position offers a varied workload, exposure to senior stakeholders, and the chance to make a tangible impact on how the firm manages compliance and risk. Key responsibilities:

  • Support the development and delivery of the group-wide compliance and risk strategy
  • Maintain and update compliance policies, procedures, and risk assessments
  • Provide advice on regulatory requirements and best practice to partners, managers, and staff
  • Assist with regulatory submissions and ongoing compliance with professional bodies
  • Contribute to training initiatives and compliance awareness across the firm
  • Monitor breaches, prepare reports, and recommend improvements
  • Advise on GDPR and conflict of interest processes
  • Represent the compliance function in group projects and business change initiatives
The successful candidate will have:
  • At least 2 years’ regulatory experience in professional services or a regulatory body
  • Knowledge of AML, CDD processes, and compliance frameworks
  • Strong attention to detail and organisational skills
  • Excellent communication and stakeholder management skills
  • A proactive approach with the ability to manage competing priorities
  • UK driving licence for travel between offices
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