Our client, a successful brokerage based in London, is seeking an experienced Head of Compliance to lead their compliance function within a dynamic financial services environment. This is a key leadership role, reporting to the Board, with responsibility for ensuring full adherence to UK and international regulatory requirements.
The RoleThe successful candidate will:
- Develop, implement, and maintain a robust compliance framework aligned with FCA, PRA, and international regulatory standards.
- Act as the primary contact for regulatory bodies, managing audits, responding to regulatory changes, and ensuring all reporting obligations are met.
- Lead the organisation’s risk management strategy, conducting regular assessments and implementing controls to mitigate financial, operational, and regulatory risks.
- Manage and mentor a high-performing compliance and risk team, ensuring the function remains proactive and aligned with business objectives.
- Provide strategic guidance to senior leadership and the Board on regulatory developments, potential risks, and necessary compliance actions.
- Conduct internal audits and risk assessments, identifying weaknesses and driving improvements across business operations.
- Design and deliver compliance and risk training programs that embed a culture of responsibility and best practice across the organisation.
- Prepare and present compliance and risk reports to senior management and the Board, ensuring transparency and accountability in decision-making.
Candidates must:
- Have held SMF16 (Compliance Oversight) and SMF17 (Money Laundering Reporting Officer) functions.
- Have extensive experience in a senior compliance and risk role within financial services.
- Possess strong knowledge of FCA, PRA, AML, KYC, GDPR, and other relevant regulatory frameworks.
- Demonstrate proven leadership skills, with experience managing and developing teams.
- Have excellent communication and stakeholder management abilities, with a track record of influencing at a senior level.
- Show strong analytical and strategic thinking skills, with the ability to identify and mitigate risks effectively.
- Hold relevant professional qualifications such as an ICA Diploma in Compliance or CFA (highly desirable).
This is an exciting opportunity for a highly skilled compliance professional to take on a leadership role in a successful and growing organisation.