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Compliance Officer

My client, a small London based Investment Bank, is keen to hire a Compliance Officer to join their busy team. Reporting to the Head of Legal & Compliance, the successful candidate will:

  • Provide compliance expertise and technical guidance across the bank
  • Advise and maintain knowledge of FSA requirements and codes of practice
  • Promote effective preventive AML controls within the bank
  • Monitor compliance with FSA rules and compliance policies into all areas of the business
  • Act as principal interface with front office units and other support areas of the bank on regulatory issues
  • Manage a small team of two staff

Key Responsibilities

  • Responsible for day to day aspects of the business' compliance activities
  • Ensure that regulatory risks are identified, mitigated and monitored
  • Provide compliance support to front office units
  • Monitor, update and implement regulatory policies
  • Undertake monitoring reviews into all parts of the business, report findings and follow up issues with the business
  • Monitor effectiveness of FSA regulations and compliance policies
  • Identify and redress potential conflicts of interests surrounding the business
  • Supervise KYC/AML checks and promote AML controls
  • Investigate suspicious transactions, errors and complaints
  • Provide guidance and approve financial promotions and marketing materials
  • Review regulatory returns
  • Prepare quarterly reporting to the Audit Committee and annual reports to the Board
  • Develop staff awareness of MAR
  • Ensure that European based branches act in a compliant manner in accordance with local regulations
  • Perform overall risk assessment on AML for these business branches on an annual basis
  • Advise on UK and European regulatory developments, with particular focus on MiFID

Skills & Experience

  • Excellent knowledge of the UK regulatory framework
  • Proven and extensive track record gained within compliance at a UK Investment Bank
  • Experience advising the front office on the business and market conduct regulations
  • Proactive, entrepreneurial and highly motivated
  • Ability to work on his/her own but also as part of a team
  • Good communication skills, flexible attitude
  • Ability to develop and take on full CF10/CF11 duties / responsibilities

Candidates must be able to demonstrate experience gained in an Investment Banking environment to be considered for this role

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