THE COMPANY: Our client is a leading Forex and CFD brokerage firm, seeking a Head of Compliance THE RESPONSIBILITIES: Stay updated on all pertinent FCA regulations Serve as the primary point of contact for regulatory inquiries and examinations Oversee and maintain the firm's policies and procedures to ensure they remain effective and up to date. Develop and implement compliance policies, procedures, and controls to effectively mitigate regulatory risks. Prepare and submit regulatory reports and filings accurately and within prescribed deadlines. Work closely with the global compliance function at the group level to ensure alignment and best practices. EXPERIENCE REQUIRED: Current or recent SMF16 and SMF17 registration Demonstrable senior-level experience in compliance within the financial services industry, preferably in a CFD brokerage firm. Deep understanding of FCA regulations and guidelines pertaining to FX/CFD trading and financial services. Excellent communication and interpersonal skills Strong analytical and problem-solving abilities, with a keen attention to detail. Relevant professional qualifications (e.g., ACAMS, ICA Diploma in Financial Crime Compliance) preferred. For further information please contact Natalie Eshelby