Does the idea of playing a pivotal role in ensuring great client outcomes and robust risk management in a leading wealth management business sound right for you? If you're passionate about high standards, client care, and regulatory integrity, this opportunity could be the perfect next step. We’re looking for… A Front Office Risk & Control Officer to join our collaborative team, reporting to the Head of Risk & Control. You'll focus on monitoring Suitability across our Discretionary Management and Wealth Planning Services, ensuring compliance with regulatory standards and supporting the business with strategic initiatives and day-to-day risk queries. You’ll need: • Degree-level education or equivalent experience • Experience in discretionary or advisory investment management • Relevant compliance or industry qualifications • Strong knowledge of FCA Suitability requirements and conduct rules • Familiarity with JFSC and SEC guidance • A strong understanding of investment products and client needs You are… • Highly focused on achieving good client outcomes • Detail-oriented and accurate in your work • Confident, with strong communication and influencing skills • Collaborative, with the ability to work across teams • Proactive and solutions-focused • Committed to professional standards and regulatory excellence The good stuff… • A values-driven, client-centric culture • The chance to influence best practices and drive improvements • Exposure to senior stakeholders and strategic initiatives • Ongoing professional development and training opportunities • Competitive salary and benefits package – Hybrid working Does this sound like you? Then we want to hear from you. Please get in touch today.