My client, an ambitious & growing adviser network known for their inclusive & supportive culture, are looking to appoint a dynamic & solutions-oriented Compliance professional to provide effective compliance services across the Wealth, Mortgage & Protection channels.
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Reporting to the Compliance Director, the role will support the design & delivery of the compliance plan, providing effective advice & consultancy to key stakeholders across the business, contributing to business strategy & operations.
This includes: Undertaking monitoring & assurance activities Advising Channel Heads on control enhancements, actions & solutions Collaborate & influence senior leaders on balancing commercial objectives with their regulatory obligations Support with FCA regulatory visits and thematic reviews This is a key role within an evolving Compliance function, providing support and challenge to ExCo and the senior leadership team to assist in developing a customer-centric culture.
The ideal candidate will have worked in a Financial Services business in a 2nd Line role; have up-to-date knowledge of FCA handbooks (including SYSC, COB, MCOB, ICOB, T&C); be an effective communicator with the ability to engage and influence senior stakeholders; demonstrate an understanding of the strategic objectives of the firm and the resulting impact on processes; possess the ability to operate independently and as part of a team.