Our client, a global regulatory consultancy are growing at the Compliance Consultant level. With a flat structure, entrepreneurial culture, and strong focus on people, this firm offers rapid career progression and exposure to some of the most sophisticated asset management, hedge fund, and private equity clients in the industry.
You’ll work alongside senior experts on compliance reviews and advisory projects in a client facing role, helping clients navigate complex regulatory frameworks across the FCA, SEC, and other global regimes.
What you’ll do:
* Lead or co-lead compliance reviews and advisory engagements for leading investment clients
* Provide practical, regulatory insight on policies, procedures, marketing, and personal trading
* Support clients with compliance training, audits, and new regulatory developments
* Develop trusted relationships and deliver high-quality, actionable compliance advice
What you’ll bring:
* 4+ years compliance experience, ideally from a consultancy or in-house financial services environment
* Strong working knowledge of FCA (and/or SEC) regulations
* Excellent analytical, research, and communication skills
* Proactive mindset, comfortable working both independently and collaboratively
What is on offer:
* Competitive salary, flexible depending on experience
* Bonus structure
* Hybrid working model of 3 days a week in the London office
* Quick and merit based promotion opportunities