Where you'll fit in & what our team goals are...
The EMEA Head of Compliance has overall Compliance regulatory responsibility for the EMEA region and management responsibility for EMEA distribution, Regulatory Developments, Compliance Programme Office, EMEA mandate compliance and matrix reporting responsibility for Monitoring and Assurance, Trade Surveillance and Front Office Compliance Advisory functions within the Global Asset Management Compliance department, as well as the EMEA Financial Crime Prevention team.
The EMEA Compliance team has team members based in the UK, Luxembourg, Netherlands, Italy, Germany, Dubai, and India. This role has broad compliance oversight and SMF16 responsibility for all the UK regulated companies (refer to table below) and US Chief Compliance Officer for Pyrford International Ltd and Deputy Compliance Officer for CTIME (Dubai).
The EMEA Head of Compliance effectively manages the compliance and regulatory risks EMEA is exposed to by designing, implementing, and maintaining a compliance framework that minimises the EMEA exposure to risks. Specifically, the Compliance function aims to provide a high degree of assurance that EMEA meet its regulatory obligations as well as high standards of conduct and ethical practice.
The EMEA Head of Compliance will have overall oversight of all regulated activities undertaken in the region to ensure that regulatory and reputational risks within the organisation are effectively identified, managed, and escalated.
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