Senior Compliance Officer
ABOUT US
We are a multi-award-winning investment firm specialising in structured products and brokerage services. We are looking for a motivated Senior Compliance Officer to join our growing team, offering an excellent opportunity to develop within a dynamic and regulated environment.
RESPONSIBILITIES
This is a permanent role supporting the Group Head of Compliance across a range of activities including:
- Managing the Compliance inbox, ensuring queries are prioritised and directed to the appropriate individuals within agreed timeframes
- Developing and implementing anti-bribery and corruption (ABC) compliance programmes and policies
- Conducting risk wide assessments and provide actionable recommendations to mitigate compliance risks
- Assisting with conflicts of interest processes (e.g. gifts and hospitality, personal account dealing, and outside business interests) in line with internal procedures and as directed by the line manager
- Assisting with maintaining the regulatory change log, including compliance monitoring programme and reviewing updates from the Financial Conduct Authority and other relevant bodies
- Assisting with the KYC and onboarding which includes individuals and market counterparties for bond trading
- Responding to business queries on compliance-related matters
- Contributing to ad hoc tasks and projects as required
- Working collaboratively with the wider group and other teams such as sales, operations, marketing and IT
- Regulatory Surveillance & Reporting: Monitoring trade reporting for EMTNs and other instruments (MiFIR/EMIR), maintaining the Approved Person's register, and conducting disclosure of interest monitoring (short selling, major shareholdings).
- Control Room Activities: Managing conflicts of interest, handling inside information, and overseeing information barriers ("Chinese walls") regarding corporate finance deals and new issuances.
- Advisory & Policy: Providing guidance to trading desks and origination teams on compliance matters and developing internal policies to address regulatory updates.
- Audit & Investigation: Supporting regulatory examinations, conducting surveillance reviews, and performing forensic investigations into potential breaches.
Requirements
QUALIFICATIONS & EXPERIENCE
- Bachelor’s degree with an outstanding academic record from a reputable university
- Experience: 3–7+ years in compliance within financial services, with specific experience in capital markets or asset management preferred.
- Knowledge: Strong understanding of regulatory frameworks such as MIFID II, MAR, IFPR, and FCA rules.
- Skills: Strong analytical abilities, attention to detail, and communication skills for interacting with traders and regulators
ADDITIONALLY, SHOULD HAVE
- Strong attention to detail and excellent organisational skills
- The ability to work accurately and efficiently under tight deadlines
- A collaborative approach, with the ability to work both independently and as part of a team
- Strong written and verbal communication skills
- A proactive attitude and willingness to learn
Benefits
- Competitive salary and comprehensive benefits package
- Flexible and hybrid working arrangements
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