About our client Our client is a long established, FCA regulated financial planning firm with over 36 years of experience delivering bespoke financial advice to both private and corporate clients. They provide expert, unbiased advice across pensions, investments, estate planning, inheritance tax and mortgages, drawing on a broad range of market leading solutions to meet their clients’ needs. Due to continued business growth, they are now seeking a hands-on Compliance Officer to support the business in maintaining robust compliance and governance standards. The role offers the opportunity to work closely with the senior leadership team and influence how regulatory oversight is embedded across the business. As a business, their approach is shaped by four guiding values: Nurturing Relationships, Navigating Futures, Client-Centred Excellence, and Thriving Together. These values underpin how they operate, how they serve their clients and how they collaborate as a team. Overview of the role The Compliance Officer will ensure the business operates in line with the compliance framework, while maintaining strong internal processes that support regulatory alignment and business efficiency. The postholder will work closely with the Financial Planning Director and Operations Director to help ensure policies, procedures, communications and adviser activities reflect expectations and internal commitment to professional, ethical advice....