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We are partnering with a leading real estate investment management firm seeking a highly experienced Risk & Compliance Manager to join their team on a permanent basis.
Role Overview
The successful candidate will:
* Manage and report on all risk matters to the Risk & Compliance Committee and Board.
* Act as the MLRO and Data Protection Officer, leading all compliance activities across the business.
* Develop and implement a comprehensive compliance strategy aligned with business objectives.
* Provide technical advice, guidance, and training on regulatory, business, and reputational risks.
* Ensure full compliance with FCA regulations (including AML, financial promotions, and the Senior Managers & Certification Regime), as well as AIFMD and MiFID II.
Key Requirements
* University degree or professional qualifications such as ICA, ACAMS, or CCEP.
* Extensive experience in risk and compliance roles within financial services.
* Deep understanding of FCA regulations and industry best practices.
* Proven experience leading compliance investigations.
* Strong leadership skills with the ability to influence at board level and confidently challenge when needed.
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