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A prominent investment bank seeks a Compliance Partner in London to oversee the Control Room function and manage compliance activities. The role requires strong knowledge of the financial industry and FCA regulations. Candidates should have excellent communication skills and attention to detail. Responsibilities include managing the Senior Managers and Certification Regime, providing training, and ensuring compliance with regulatory requirements. This full-time position offers a dynamic work environment.
We're building a relationship-oriented bank for the modern world. We need talented passionate professionals who are dedicated to doing what's right for our clients.
At CIBC we embrace your strengths and your ambitions so you are empowered at work. Our team members have what they need to make a meaningful impact and are truly valued for who they are and what they contribute.
To learn more about CIBC please visit
As a key component of the Central Compliance function this is a multi-functional role requiring a number of key competencies in order to support the Compliance function in the UK and Luxembourg reporting directly to the Head of Central Compliance (ED1) in the UK and is responsible for :
Control Room Function - Ownership and oversight of all aspects of the Control Room in the UK including related regulation policies procedures and controls interface with UK and Luxembourg businesses in order to manage conflicts of interest interface with the Toronto Control Room to ensure alignment of processes and policies with the Parent where applicable as well as ongoing oversight and management of the services being provided by the Toronto Control Room to Europe training of employees in the UK and Luxembourg.
Senior Managers and Certification Regime Ownership of the entire SMCR framework in the UK including related regulation policies procedures and controls. Ownership of the annual Certification process for both the Certified population of employees in the UK and all SMFs as well as onboarding of new Certified Persons.
Central Compliance responsibilities - The individual will also assist the Head of Central Compliance with ongoing projects presentations and management reports as well as daily administrative tasks.
Educated to degree level with previous experience in Investment Banking.
Job Location
150 Cheapside London UK
Employment Type
Regular
Weekly Hours
35
Business Business Banking Business Units Communication Compliance Reporting Compliance Testing Conflict Management Decision Making Employee Relationships Ensure Compliance Global Market Investment Banking Investments Microsoft Excel Microsoft Office Microsoft PowerPoint Policy Enforcement Presentations Professional Presentation Regulatory Compliance Regulatory Documents Regulatory Requirements Risk Assessments Strategic Advice Training and Development
Senior IC
Compliance Management,Risk Management,Financial Services,PCI,Banking,Cost Accounting Standards,Quality Systems,Research Experience,NIST Standards,Securities Law,SOX,ISO 27000
years
1
* 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.