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Head of Compliance and MLRO

Posted 3 hours 58 minutes ago by Compliance Professionals

£90,000 - £120,000 Annual
Permanent
Full Time
Other
London, United Kingdom
Job Description
THE COMPANY:

We have been instructed by an international Private, corporate & specialist finance bank who has their European hub in London. They provide a range of corporate banking, Private banking and real estate services.

THE RESPONSIBILITIES:
  • Act as SMF16 (Compliance Oversight) and SMF17 (MLRO) under the FCA Senior Managers Regime.
  • Lead engagement with UK regulators and law enforcement.
  • Maintain governance structures, SMCR obligations including Statement of Responsibilities, and Management Responsibilities Map.
  • Ensure readiness for audits, reviews, and regulatory inspections.
  • Develop and maintain a UK Shariah-compliant compliance framework, policies, and monitoring plans.
  • Conduct assurance reviews and risk assessments, report regularly to Board and Senior Management.
  • Oversee Certification Regime and fitness & propriety assessments.
  • Maintain AML and financial crime frameworks, including policies and controls.
  • Review suspicious activity reports (SARs) and submit to NCA where appropriate.
  • Provide guidance and advice on AML, CTF, sanctions, fraud, and anti-bribery.
  • Ensure compliance with UK legislation (POCA, MLR, sanctions, anti-bribery).
  • Act as UK liaison for Group compliance and financial crime management.
  • Ensure consistency of compliance and financial crime frameworks across both the UK and Group entities.
  • Align frameworks and contribute to Group policy development and reporting.
  • Prepare compliance and financial crime reports for Board and internal committees.
  • Maintain registers, policies, and MI dashboards for oversight.
  • Oversee the preparation, accuracy, and timely submission of all regulatory returns and reports to relevant authorities, ensuring compliance with applicable laws, regulations, and internal governance standards.
  • Implement compliance and conduct training; promote strong compliance culture, aligning to the conduct rules and embedding the code of conduct.
  • Ensure understanding of and adherence to FCA Conduct Rules across the bank.
  • Review and update policies in line with regulatory and business changes.
  • Support audits and regulatory reviews, ensuring timely closure of findings
EXPERIENCE REQUIRED:
  • Significant experience in UK Banking/financial services compliance (10+ years). Ideally Private banking/wealth management or foreign banking background
  • Experience in a small to medium-size foreign bank would be advantageous
  • Experience dealing directly with the FCA and PRA.
  • Experience in a dual-function SMF role or a senior role under SM&CR.
  • Experience working in a Group environment is desirable, with shared oversight across multiple jurisdictions (preferably including the Middle East).

For further information, please contact Hannah Tabatabai

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