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Head of Compliance & MLRO

Posted 1 day 1 hour ago by Compliance Professionals

£150,000 - £200,000 Annual
Permanent
Full Time
Other
London, United Kingdom
Job Description
THE COMPANY:

We excited to be working with a growing brokerage firm. This is a great opportunity for a commercially minded experienced Compliance Officer/MLRO.

THE RESPONSIBILITIES:
  • Keep the board aware of the Board on regulatory developments and how it will affect the firm's business and controls.
  • Provide regulatory advice to front office as well as operational teams on the application of regulations (e.g., MAR, MiFID II, FCA Handbook).
  • Review and monitor intergroup trade / transaction booking arrangements.
  • Develop and maintain compliance policies and procedures aligned with evolving regulatory expectations.
  • Design and implement monitoring and testing plans to evaluate and enhance control effectiveness.
  • Design and implement Risk matrixes for the Compliance department to feed into the monthly Risk & Compliance Meeting and the Board.
  • Horizon scanning and reporting on any changes / enhancements required as a result.
  • Review and ensure appropriate training is delivered to employees.
  • Hold SMF 16 and 17 functions.
EXPERIENCE REQUIRED:
  • Ten years relevant experience in a wholesale Brokerage investment firm or investment banking firm.
  • Proven ability to develop and maintain robust compliance frameworks and monitoring programs.
  • Excellent understanding / knowledge of UK, EU, and global regulations (e.g., MAR, MiFID II, DTR, SSR).
  • Strong track record in supporting strategic business initiatives and regulatory change.
  • Excellent interpersonal and communication skills, with the ability to influence and guide senior stakeholders.

For further information please contact Hannah Tabatabai

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