- Conduct compliance reviews to ensure adherence to laws, regulations, and internal policies.
- Assess compliance risks and develop monitoring plans.
- Collaborate with teams to ensure regulatory compliance and implement corrective actions.
- Analyse regulatory changes and update monitoring programs accordingly.
- Prepare and present compliance reports to senior management.
- Promote a culture of compliance and ethical awareness across the organisation.
- Experience in compliance monitoring within financial services (2nd line role).
- Previously work in a wealth/ investment manager (open to broader FS background)
- Relevant qualifications (e.g., CISI Compliance Diploma).
- Knowledge of regulations such as AML, KYC, MiFID, GDPR.