Large banking client is currently searching for an experienced Senior Compliance Officer to join their Compliance & Conduct Risk team, to support the design, delivery, and oversight of products and customer propositions across a fast-moving retail banking environment.
This is an ideal role for someone with a strong compliance foundation who enjoys working closely with product and business teams — combining regulatory expertise with commercial understanding to deliver fair and sustainable customer outcomes.
Key Responsibilities
* Provide regulatory and conduct risk guidance throughout the product lifecycle — from concept and design through to launch and review.
* Support product governance processes, ensuring compliance with FCA, PRA, and Consumer Duty expectations.
* Review and sign off marketing, disclosures, and customer communications, ensuring clarity and fairness.
* Partner with product, risk, and operations teams to embed compliance principles into business decision-making.
* Conduct monitoring and thematic reviews to assess customer outcomes and identify emerging risks.
* Contribute to regulatory readiness initiatives and the continuous improvement of compliance frameworks.
* Prepare and present MI and conduct reporting to senior management and governance committees.
Skills & Experience Required
* 6–8 years’ experience in compliance, conduct risk, or product governance within a retail banking or fintech environment.
* Strong working knowledge of FCA regulations, including Consumer Duty, SYSC, and Principles for Businesses.
* Experience providing advisory support to product or commercial teams.
* Excellent understanding of customer outcomes, fair value assessments, and product oversight frameworks.
* Confident communicator — able to influence and challenge stakeholders constructively.
* Analytical mindset, comfortable interpreting MI, risk indicators, and product data