Head Of Compliance – Exclusive

London, United Kingdom

Job Description

THE COMPANY:
Our client is a leading brokerage firm providing global clearing solutions to the derivatives markets.
THE RESPONSIBILITIES:

  • Ensure the Company operates in accordance with all relevant regulatory obligations.
  • Ensure, through regular monitoring that the Company complies with rules of the exchanges and clearing houses of which it is a member.
  • Establish appropriate policies, frameworks, procedures and processes to ensure compliance by the Company and its staff with relevant regulatory and exchange obligations and to work with all business areas in a proactive manner to achieve this;
  • Manage responses to audits and investigations from exchanges and the FCA;
  • Oversee and ensure that effective regular monitoring reviews are carried out under the Compliance Monitoring Plan (and on an ad hoc basis where necessary);
  • Work with the COO to ensure accurate and timely regulatory reports are submitted (EMIR, MiFID, REMIT etc.);
  • Prepare regular reports that accurately reflect the status of compliance of the Company and to advise management on relevant issues;
  • Ensure appropriate regulatory training plans are in place for staff and the delivery thereof;
  • Ensure support is given to internal projects which are required to meet regulatory and exchange requirements on a timely basis;
  • Attend and participate in Management Committee meetings and bring to bear commercial, business and professional experience in the decision making process;
  • Oversee the effectiveness of the client onboarding process including KYC and due diligence checks;
  • Ensure appropriate records and reports are maintained regarding the activities of the Compliance Department in accordance with all relevant regulatory requirements;
  • Review, analyse, report on and make recommendations about new issues that may affect the business of the Company in regulatory areas and take appropriate action to ensure full compliance by the Company ; and
  • Attend the Risk Committee of the Board and provide it with regular reporting.
The MLRO undertakes FCA Senior Manager Function (SMF17). The MLRO's responsibilities include the following:
  • Monitoring the effectiveness of the Company's anti-money laundering systems and controls against the requirements of the Money Laundering Regulations, FCA rules, regulation and guidance, POCA 2002 and the Terrorism Act 2000;
  • Ensuring that the anti-money laundering client account opening processes are compliant with the Company's policy and the Money Laundering Regulations, other applicable law and the JMLSG Guidance;
  • Conducting and maintaining a Business-Wide Risk Assessment for financial crime;
  • Receiving and reviewing internal disclosures and submitting external reports to the NCA;
  • Responding promptly to any reasonable request for information made by the FCA or law enforcement authorities;
  • Liaising with the FCA, NCA and other external agencies;
  • Ensuring that anti-money laundering training is provided, its standards and scope are appropriate and that records are kept;
  • Reporting to the Board on at least an annual basis (via the MLRO Report) and keeping the Senior Management updated on money laundering issues;
  • Obtaining and using national and international findings, for example the findings of the FATF, IMF and World Bank to drive a robust culture;
  • Appointing a Deputy MLRO to cover the MLRO's periods of absence;
  • Ensuring that client and transaction monitoring is being undertaken;
  • Assessing the risks of the Company's client base and business activities in relation to money laundering on an on-going basis;
  • Ensuring the Company's policies and procedures are communicated effectively to all relevant employees;
  • On an on-going basis, the MLRO reviewing the Company's business activities
EXPERIENCE REQUIRED:
  • Derivatives background/knowledge
  • SMF16 experience ideally from brokerage / derivative markets firm
  • Maintain knowledge and awareness of the wide-scale regulatory issues that affect the Company and the industry;
  • Maintain effective oral and written communication including detailed reports and other material of a technical and/or complex nature where appropriate;
  • Develop knowledge regarding the position of the Company in the industry and in the overall political, economic and regulatory environment; and
  • Maintain comprehensive regulatory knowledge of products and services in own areas of responsibility.
For further information please contact Hannah Tabatabai
About this role
Location:
London
Specialism:
,
Salary:
Up to 170,000 pa + benefits
Type:
Reference:
19321

Skills Required

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Job Detail

  • Job Id
    JD3853941
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    £170,000 per year
  • Employment Status
    Permanent
  • Job Location
    London, United Kingdom
  • Education
    Not mentioned