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3,655

Environmental Consultant jobs in United Kingdom

Compliance Officer

Crown Agents Bank

City Of London
Hybrid
GBP 50,000 - 70,000
29 days ago
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Housing Licensing Officer: Compliance & Licensing (3-Month Contract)

Brackenberry

Grays
On-site
GBP 80,000 - 100,000
29 days ago

Health And Safety Advisor

Safety Talent

England
On-site
GBP 35,000 - 48,000
29 days ago

Educational Psychologist - Hartlepool

Reed

Tees Valley
On-site
GBP 60,000 - 80,000
29 days ago

Flexible Locum Educational Psychologist for Assessments

Reed

Tees Valley
On-site
GBP 60,000 - 80,000
29 days ago
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Compliance Manager - GF &COO

Quilter plc

Eastleigh
On-site
GBP 40,000 - 60,000
29 days ago

Junior Geo-Environmental Engineer

Penguin Recruitment Ltd

East Midlands
On-site
GBP 27,000 - 32,000
29 days ago

Junior Geo-Environmental Engineer

Penguin Recruitment

Leicester Forest East
On-site
GBP 27,000 - 32,000
29 days ago
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Compliance Support Officer - Hybrid (2 days WFH)

The Oyster Partnership

Dunsfold
Hybrid
GBP 25,000 - 35,000
29 days ago

Head of Compliance

The Silver X Group

Riddings
On-site
GBP 65,000
29 days ago

Technical Compliance Manager (FTC 9-12 months Maternity Cover)

ALBERT BARTLETT

Worstead
On-site
GBP 40,000 - 55,000
29 days ago

Compliance Manager

Design Haus

Sheffield
On-site
GBP 40,000 - 60,000
29 days ago

Senior Occupational Health Advisor

South Wales Police

United Kingdom
On-site
GBP 45,000 - 49,000
29 days ago

Life Insurance Protection Advisor

More Than Diabetes

Ashford
Hybrid
GBP 25,000 - 75,000
29 days ago

AR Compliance Manager

Polo

City Of London
On-site
GBP 50,000 - 70,000
29 days ago

HSE Manager - Indsutrial Servicing

Astute People

West Horndon
On-site
GBP 40,000 - 50,000
29 days ago

Educational Psychologist - Middlesbrough

Reed

Tees Valley
On-site
GBP 60,000 - 80,000
29 days ago

Locum Educational Psychologist - Flexible Assessments

Reed

Tees Valley
On-site
GBP 60,000 - 80,000
29 days ago

Lead Subcontractor Safety & Compliance Officer

JLL

East Midlands
On-site
GBP 60,000 - 80,000
29 days ago

Senior SHEQ Advisor

Assured Safety Recruitment Ltd

England
On-site
GBP 50,000 - 55,000
29 days ago

Benefits Lead: Data-Driven & Compliance Expert

i-Jobs

England
On-site
GBP 60,000 - 80,000
29 days ago

Health And Safety Advisor

Safety Talent

Bristol
On-site
GBP 35,000 - 48,000
29 days ago

Environment Project Manager - Safe Delivery Leader

Galliford Try

City Of London
On-site
GBP 45,000 - 65,000
29 days ago

Senior/Principal Environmental Planning Consultant

Tetra Tech, Inc.

Manchester
Hybrid
GBP 40,000 - 60,000
30+ days ago

Senior Environmental Planning Consultant – Prestigious Strategic Planning Consultancy

JS Money Limited

Bristol
Hybrid
GBP 40,000 - 60,000
30+ days ago

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Compliance Officer
Crown Agents Bank
City Of London
Hybrid
GBP 50,000 - 70,000
Full time
29 days ago

Job summary

A growing UK bank in the City of London is seeking a Compliance professional to enhance its compliance culture and risk management framework. The successful candidate will be responsible for maintaining compliance with FCA and PRA regulations, conducting training, and advising on regulatory requirements. Relevant qualifications and at least three years of experience in compliance are essential. This position offers a hybrid working model and a comprehensive benefits package.

Benefits

Contributory personal pension plan
Life Assurance – 4 times annual salary
Private Medical Insurance
Discretionary Bonus
Competitive Annual Leave

Qualifications

  • At least three years’ experience in compliance, risk management, or a related field.
  • Demonstrable knowledge of regulatory and conduct risk.
  • Experience interpreting and applying Payment Services Regulations.

Responsibilities

  • Maintain and enhance the CAB Compliance Risk Management Framework across all business areas.
  • Design and deliver compliance training based on regulations.
  • Monitor compliance with FCA and PRA rules, ensuring timely issue resolution.

Skills

Knowledge of UK financial services and regulatory framework
Effective communication skills
Compliance monitoring experience
Ability to challenge constructively

Education

Degree or Equivalent Level
Professional qualification (e.g., ICA, CISI)
Job description
Overview

Crown Agents Bank is a growing and regulated UK bank that connects emerging and frontier markets to the rest of the world, using FX and payments technology. We are transforming the way payments and FX move through emerging markets, reducing friction so that more money gets to those who need it. Emerging markets payments are usually challenging, expensive, unreliable and opaque. Our solutions help fix these pain points. Ultimately, we connect traditionally hard-to-reach regions to global financial infrastructure, giving access to the best prices and the fastest, most reliable settlement. FX and cross-border payments are often complex and expensive, especially when operating in emerging markets. Crown Agents Bank (CAB) wraps its deep and trusted relationships and strength of network around innovative digital capabilities and cross-border transaction banking solutions to enable fintech, corporates, governments, development organisations and banks to move money to, from, and across often hard-to-reach markets.

Job Description

To enhance and maintain the compliance culture and risk management framework for Crown Agents Bank (CAB), including but not limited to:

  • Governance, compliance advisory, compliance training, regulatory change management, reviewing financial promotions, providing 2nd line challenge, reviewing new products, reviewing SMCR requirements, and conducting monitoring and testing as required under the Compliance Monitoring Plan (CMP).
  • Ensuring compliance with all relevant FCA and PRA regulations, including those relating to the bank’s permissions (e.g., deposit-taking, payment services, foreign exchange, derivatives, and other regulated activities).
  • Supporting the bank’s activities in derivatives and structured products, ensuring robust controls and compliance with relevant regulations (e.g., EMIR, MiFID II, FCA Conduct of Business Sourcebook).
Role Responsibilities
  • Maintain and enhance the CAB Compliance Risk Management Framework, embedding it across all business areas.
  • Complete monitoring and testing as required under the CMP, including thematic reviews of derivatives and other complex products.
  • Report findings of monitoring and testing, escalating issues as appropriate.
  • Monitor compliance with, and embed a culture of, compliance in line with FCA and PRA rules and expectations.
  • Design and deliver compliance training, including on derivatives, market conduct, and new regulatory developments.
  • Provide meaningful compliance and conduct-related management information (MI).
  • Maintain and report appropriate MI, continually enhancing compliance reporting.
  • Ensure timely and effective resolution of compliance issues.
  • Review and update compliance risk policies, ensuring they reflect current regulatory requirements and are uploaded to Riskonnect.
  • Work with stakeholders to develop and enhance controls, especially in areas relating to the bank’s FCA permissions (e.g., client money, safeguarding, anti-money laundering, derivatives trading).
  • Manage SMF/Certified registration and Directory Persons on Connect.
  • Coordinate internal and external attestations, including the annual Fit & Proper attestation.
  • Review and approve financial promotions and client communications.
  • Advise on regulatory requirements for new products and services, including derivatives.
  • Support regulatory reporting and respond to information requests from the FCA, PRA, and other authorities.
  • Maintain awareness of regulatory developments affecting the bank’s permissions and business model, including those relating to derivatives and capital markets activities.
  • Provide compliance advisory support to front office and support functions, with a focus on derivatives, FX, and payment services.
  • Support the implementation of new regulatory requirements (e.g., EMIR, MiFID II, SMCR, AMLD).
  • Participate in industry forums and maintain up-to-date knowledge of best practices in compliance and derivatives regulation.
Qualifications
  • Degree or Equivalent Level. Professional or industry qualification preferred (e.g., ICA, CISI, or equivalent).
Experience
  • Proven knowledge of UK financial services and the regulatory framework (FCA/PRA).
  • At least three years’ experience in compliance, risk management, or a related field.
  • Demonstrable knowledge of regulatory and conduct risk.
  • Experience with compliance monitoring, policy development, and regulatory submissions.
  • Experience interpreting and applying Payment Services Regulations (PSR), including oversight of payment services and e-money activities.
  • Familiarity with derivatives regulation, including EMIR, MiFID II, and associated reporting and risk management requirements.
  • Ability to communicate effectively at all levels.
  • Provides constructive and appropriate challenge.
  • Capable of enhancing and maintaining risk management systems and controls
Additional Information
  • Hybrid working
  • Contributory personal pension plan: - Minimum: Employee 2% and Employer 7%. Employer matches contributions in 1% increments to a maximum of: Employee 5% and Employer 10%
  • Life Assurance – 4 times annual salary
  • Group Income Protection
  • Private Medical Insurance – this may include cover for partner and or children at company cost. Cover includes Optical, Dental and Audiology
  • Discretionary Bonus
  • Competitive Annual Leave
  • 2 Volunteering Days
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* The salary benchmark is based on the target salaries of market leaders in their relevant sectors. It is intended to serve as a guide to help Premium Members assess open positions and to help in salary negotiations. The salary benchmark is not provided directly by the company, which could be significantly higher or lower.

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