ThinkMarkets is a global multi-asset trading firm providing retail and institutional clients access to CFDs, FX, indices, and commodities through our proprietary ThinkTrader platform. As an FCA-authorised firm operating in a high-risk investment category, regulatory compliance is fundamental to our business model and client protection.
We're committed to maintaining the highest standards of regulatory compliance while enabling business growth and innovation in one of the most dynamic sectors of financial services.
The Role
We're seeking a Compliance Manager to join our London team - a hands-on, operationally-focused role perfect for an experienced compliance professional who thrives in fast-paced environments and enjoys designing, implementing, and applying solutions to complex regulatory challenges.
This isn't a people management position, but requires manager-level expertise, independent judgment, and the confidence to lead implementation of compliance frameworks across all business functions. You'll be instrumental in both designing and executing our regulatory approach while ensuring the business can deliver growth safely and compliantly.
Key Responsibilities
Regulatory Advisory & Implementation:
Provide authoritative guidance on FCA requirements including COBS, SYSC, MAR, MiFIDPRU, and Consumer Duty
Design, implement, and apply compliance solutions across front office, operations, risk, IT, and marketing teams
Lead the practical implementation of regulatory changes, from policy development through to operational deployment
Ensure regulatory considerations are embedded in new product development and business initiatives
Market Surveillance & Reporting
Execute market abuse surveillance and transaction reporting under MiFIR and EMIR
Investigate trading alerts and anomalies, escalating appropriately
Ensure accuracy and timeliness of all regulatory submissions and returns
Financial Promotions & Client Communications
Review and approve marketing materials, website content, and client communications
Balance regulatory requirements with commercial objectives
Maintain oversight of all customer-facing materials and disclosures
AML & Client Onboarding
Design, implement, and apply day-to-day KYC, EDD, sanctions, and PEP screening processes
Lead implementation of enhanced onboarding procedures that reduce risk while improving client experience
Apply robust AML controls across all client touchpoints with hands-on operational oversight
Governance & Risk Management
Design, implement, and maintain compliance policies, risk registers, and management information systems
Apply governance frameworks to Board and Committee reporting, including SMCR and ICARA requirements
Lead implementation of audit recommendations and thematic review findings
Support internal audits, thematic reviews, and regulatory examinations
Complaint Management
Design and implement regulatory complaint processes under DISP
Apply root cause analysis methodologies and implement comprehensive remediation measures
Lead Consumer Duty initiatives and consumer harm reduction programs
Regulatory Relations
Assist with FCA correspondence, information requests, and supervisory meetings
Support preparation for regulatory visits and inspections
Maintain positive, proactive relationships with regulators
Essential Requirements
3-6 years compliance experience in FCA-regulated CFD, FX, or investment firms
Strong working knowledge of UK financial services regulation (COBS, SYSC, MAR, MiFID II, EMIR, Consumer Duty)
Hands-on experience with trade surveillance, AML controls, and financial promotions
Proven ability to work across multiple business functions and wear different hats
Excellent communication skills with ability to translate regulation into practical business guidance
What Makes You Stand Out
Ownership mentality - you take pride in seeing projects through to completion
Problem-solving approach - you ask insightful questions and deliver pragmatic solutions
Proactive mindset - always anticipating needs and staying ahead of deadlines
Commercial awareness - understanding business objectives while maintaining regulatory standards
Industry qualifications (ICA, ACAMS) or commitment to obtaining them
What We Offer
Deep expertise development in one of the FCA's most closely supervised sectors
Broad business exposure across product, technology, operations, and client experience
Collaborative culture where your insights and contributions are valued
Core team visibility with direct impact on business outcomes from day one
* Professional development opportunities in a fast-growing, innovative firm
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