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Head of compliance

Slough
W Talent
Head of compliance
Posted: 9 April
Offer description

Candidate Specification – Head of Compliance & Operations (SMF16 / SMF17 & MLRO)

Location: UK Remote

Sector: FinTech / Digital Banking

Stage: VC-backed, high-growth

Overview

We are partnering with a high-growth, VC-backed FinTech on a confidential search for a Head of Compliance & Operations, who will also hold SMF16 (Compliance Oversight) and SMF17 (Money Laundering Reporting Officer) responsibilities, subject to regulatory approval.

This is a critical leadership hire at a pivotal stage, as the firm progresses through its UK banking licence application and mobilisation journey. The successful candidate will be instrumental in designing and embedding a best-in-class compliance, financial crime, and operational infrastructure that meets the expectations of both the Financial Conduct Authority and the Prudential Regulation Authority.

This role requires a hands-on leader who can operate strategically while building from first principles in a fast-scaling environment.


Key Responsibilities

Regulatory & Compliance Leadership (SMF16)

* Assume SMF16 – Compliance Oversight responsibilities, ensuring the firm meets all applicable regulatory obligations.
* Lead the design, implementation, and continuous improvement of the compliance framework in line with Financial Conduct Authority and Prudential Regulation Authority expectations.
* Play a central role in the banking licence application and mobilisation process, including regulatory business plans, ICAs, and governance documentation.
* Act as a key point of contact with regulators, managing relationships with transparency and credibility.
* Oversee regulatory reporting, monitoring, and assurance activities.


Financial Crime & MLRO Responsibilities (SMF17)

* Act as the firm’s Money Laundering Reporting Officer (MLRO) and hold SMF17 accountability.
* Design and maintain robust AML/CTF frameworks, including policies, controls, and monitoring systems.
* Oversee Suspicious Activity Report (SAR) processes and act as the primary liaison with the National Crime Agency.
* Ensure effective KYC, customer due diligence (CDD/EDD), transaction monitoring, and sanctions screening processes are in place.
* Provide regular reporting to the Board and regulators on financial crime risks and controls.


Operational Leadership

* Build and scale core operational functions, including customer onboarding, payments operations, and service delivery.
* Design scalable, controlled processes that balance customer experience with regulatory compliance.
* Establish outsourcing and third-party risk management frameworks in line with regulatory expectations.


Risk & Governance

* Develop and embed enterprise-wide risk management frameworks, including risk appetite, controls, and reporting.
* Establish governance structures, including Board and committee reporting aligned to SMCR requirements.
* Ensure clear allocation of prescribed responsibilities and accountability across senior management.


Strategic Contribution

* Partner with the CEO, Board, and investors to align regulatory strategy with commercial objectives.
* Provide pragmatic, commercially aware input into product development and market expansion.
* Support investor due diligence, regulatory readiness, and capital raising activities.


Team Leadership

* Build and lead a high-performing compliance, financial crime, and operations function.
* Promote a strong culture of compliance, risk awareness, and ethical conduct across the organisation.


Candidate Profile

Experience

* 10+ years’ experience in compliance, financial crime, and/or operations within financial services or FinTech.
* Prior approval (or readiness for approval) as SMF16 and/or SMF17 (MLRO) in the UK.
* Direct experience supporting or leading a UK banking licence application or mobilisation phase is highly desirable.
* Experience in a high-growth FinTech or digital banking environment strongly preferred.

Regulatory Expertise

* Deep understanding of UK regulatory frameworks governed by the Financial Conduct Authority and Prudential Regulation Authority.
* Strong expertise in AML/CTF, financial crime prevention, and regulatory compliance frameworks.
* In-depth knowledge of SMCR, including prescribed responsibilities and governance expectations.

Operational Capability

* Proven ability to build and scale operational processes and control frameworks from the ground up.
* Experience implementing systems for KYC, transaction monitoring, and regulatory reporting.

Leadership & Communication

* Demonstrated ability to operate at Board level and engage effectively with regulators.
* Strong leadership capability with experience building and managing high-performing teams.
* Clear, confident communicator with sound judgment and decision-making ability.

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