A fast growing technology company that provides an end-to-end financial planning platform for financial advisers (our clients), including modules for risk profiling, cashflow modelling, investment analytics and Model Portfolio Service with over 11bn in assets under management.
Our technology cuts out unnecessary costs, inefficiencies and anxiety for advisers, while improving the long-term investment returns for their clients.
As a scaling company, the only thing that is guaranteed is unpredictability. Curve balls, adapting and developing are the norm. If you're looking for a company where everything is mapped out for you, then we may not be the right fit for you.
However, if you're after a dynamic company where you will make a real difference then read on!
The Role
We are seeking a dynamic and strategic Compliance & Risk Manager to support the Head of Risk & Compliance in overseeing the firm's regulatory obligations, risk management framework and governance processes. This role is pivotal in ensuring the firm maintains robust compliance with FCA requirements, particularly under MiFID II, Consumer Duty, SM&CR, and CASS, while proactively managing operational and conduct risks across the business.
Role Responsibilities
Maintain and enhance the firm's Compliance Monitoring Plan (CMP) and regulatory risk register
Conduct thematic reviews, surveillance, and testing aligned to FCA expectations and internal policies
Draft, maintain and communicate regulatory policies, procedures, and disclosures (e.g., Terms of Business, risk warnings)
Scan for regulatory developments. Assess the impact on company operations, products, and clients; support the company in implementation
Support FCA reporting, authorisation updates, and supervisory engagement
Provide compliance input into product governance, financial promotions and client communications
Maintain and evolve the firm's enterprise risk framework, including risk appetite statements and KRIs. Collaborate with internal stakeholders to identify, assess, and mitigate emerging risks
Lead and coordinate quarterly risk assessments and incident reporting across business units
Support ICARA, scenario stress testing and wind-down planning processes
Prepare board and committee papers on compliance and risk matters
Support SM&CR oversight, including fitness & propriety assessments and conduct rule training
Champion a culture of compliance and ethical conduct across the company
Role Requirements
Core knowledge & experience:
6+ years experience in a compliance role within an FCA-regulated investment firm
Strong working knowledge of FCA rules including COBS, SYSC, CASS, and PRIN
Familiarity with MiFID II, Consumer Duty, ICARA, SM&CR, and ESG-related regulatory developments
Excellent stakeholder management skills
Excellent written and verbal communication skills, with ability to draft board-level documentation
Analytical mindset with ability to interpret complex regulations and translate into practical processes and controls
Ideal knowledge & experience:
MPS and/or wealth management experience desirable
Technology focus; proven ability to use technology to make compliance and/or risk processes more effective and efficient
Professional qualifications (e.g., CISI, ICA, IRM) desirable but not essential
The Package
Competitive salary, dependent on experience
Non-contributory pension scheme
28 days' holiday plus bank holidays
Non-contractual bonus scheme
Potential to join company option scheme
Insurance plans
Cost of relevant professional qualifications and memberships
Hybrid working
Flexible hours (depending on team requirements)
* Wellbeing support
Beware of fraud agents! do not pay money to get a job
MNCJobs.co.uk will not be responsible for any payment made to a third-party. All Terms of Use are applicable.