Compliance Manager – Wealth Management

London, United Kingdom

Job Description

THE COMPANY:
Our client is a successful UK-based wealth management firm, focused on providing top-quality wealth management services to retail and professional clients.
THE RESPONSIBILITIES:

  • Providing advice and answering queries from the business.
  • Oversee and manage the Compliance Monitoring Programme to ensure business activities comply with internal policies and regulatory requirements.
  • Execute second-line monitoring and surveillance activities in line with the Compliance Monitoring Programme.
  • Deputise for the Compliance Officer as required.
  • Assist with leading the team on a day-to-day basis, overseeing compliance staff members assisting them with their development and answering queries etc.
  • Support the development, implementation, and ongoing monitoring of the firm's compliance policies, procedures, and control framework.
  • Conduct periodic compliance reviews, including surveillance of investment advisory activities, marketing materials, and client communications.
  • Monitor employee conduct, including personal account dealing, gifts and entertainment, and conflicts of interest.
  • Prepare monthly compliance reports for senior management and the board.
  • Conduct transaction reporting, including reconciliation, monitoring, and submissions related to third-party, institutional, and principal trades.
  • Maintain and monitor the Insider Register and assist with market abuse surveillance.
  • Conduct internal investigations related to compliance issues and recommend corrective actions where necessary
  • Best-ex surveillance.
  • Undertake Training & Competence Reviews.
  • Provide compliance support for client onboarding from an AML/KYC perspective, including periodic reviews.
  • Perform TR1 shareholding calculations and draft submissions to the FCA.
  • Oversee and respond to queries in the compliance and approvals inbox.
  • Participate in client service reviews, due diligence meetings, and related projects.
  • Conduct internal investigations into compliance issues and recommend corrective actions where appropriate.
  • Assist in the maintenance and updating of compliance manuals, policies, and training materials.
  • Identify and implement opportunities to improve compliance processes as the firm grows.
  • Provide ad hoc operational support as required.
EXPERIENCE REQUIRED:
  • Minimum of 5 years' compliance experience within a Wealth management firm. Advisory/generalist experience
  • Relevant compliance certifications (ICA, CISI, etc.) preferred.
  • Solid working knowledge of the FCA Handbook, particularly COBS, SYSC, Consumer Duty and AML regulations.
  • Experience with transaction reporting, monitoring programmes, and regulatory filings is highly desirable.
  • Strong understanding of financial services governance structures and risk frameworks.
For further information please contact Hannah Tabatabai
About this role
Location:
London
Specialism:
Salary:
Up to 80k+ benefits
Type:
Reference:
19279

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Job Detail

  • Job Id
    JD3312472
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    £80000 per year
  • Employment Status
    Permanent
  • Job Location
    London, United Kingdom
  • Education
    Not mentioned