Compliance Manager / Lead
Location: twenty84 Manchester, England, United Kingdom
Contract: 3–6 months
Day rate inside IR35
We’re supporting an FCA-regulated wealth management business seeking an experienced Compliance Manager / Lead to provide compliance cover for 3-6 months initially. This role suits a hands‑on compliance professional who can step in quickly and operate with minimal supervision. If this sounds like you, apply here.
Key responsibilities:
* First line compliance oversight across the business, working closely with second and third line of defence and senior stakeholders
* Day‑to‑day BAU compliance, including regulatory change, product governance, AML/financial crime and consumer duty
* Ownership of the risk register and preparation of regulatory updates and board papers
* Review of Consumer Duty materials, policies and controls
* Oversight of AML / Financial Crime matters within the first line
* SMCR support and involvement in complaint handling
Required experience:
* Strong background in first line or second line compliance within an FCA-regulated investments, wealth management, investment platform, or SIPP / pensions business
* Solid technical knowledge of FCA regulation, including COBS and ICOBS
* Good pensions knowledge strongly preferred
* Broad AML / Financial Crime understanding
* Comfortable reporting at board level and dealing with senior stakeholders
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