Our client is a dynamic Wealth Management firm, committed to delivering
exceptional client service through integrity, innovation, and professionalism.
We are currently seeking a full-
time, experienced Compliance Manager to join our growing team and ensure our operations remain fully
compliant with applicable laws, regulations, and internal policies.
This is an exciting opportunity for a compliance professional with a strong background in Wealth
Management, looking to advance their career in a fast-paced, collaborative environment. We are recruiting
for a CISI Compliance Diploma or equivalent qualified Compliance Manager
experience in a similar role.
Key Responsibilities
Providing advice and answering queries from the business.
Oversee and manage the Compliance Monitoring Programme for the firm to ensure business
activities comply with internal policies and regulatory requirements.
Execute second-line monitoring and surveillance activities in line with the Compliance Monitoring Programme.
Deputise for the Compliance Officer as required.
Assist with leading the team on a day-to-day basis, overseeing compliance staff members assisting
them with their development and answering queries etc.
Support the development, implementation, and ongoing monitoring of the firm’s compliance
policies, procedures, and control framework.
Conduct periodic compliance reviews, including surveillance of investment advisory activities,
marketing materials, and client communications.
Monitor employee conduct, including personal account dealing, gifts and entertainment, and
conflicts of interest.
Prepare monthly compliance reports for senior management and the board.
Conduct transaction reporting, including reconciliation, monitoring, and submissions related to third-
party, institutional, and principal trades.
Maintain and monitor the Insider Register and assist with market abuse surveillance.
Conduct internal investigations related to compliance issues and recommend corrective actions
where necessary
Best-ex surveillance.
Undertake Training & Competence Reviews.
Provide compliance support for client onboarding from an AML/KYC perspective, including
periodic reviews.
Perform TR1 shareholding calculations and draft submissions to the FCA.
Oversee and respond to queries in the compliance and approvals inbox.
Participate in client service reviews, due diligence meetings, and related projects.
Conduct internal investigations into compliance issues and recommend corrective actions where
appropriate.
Assist in the maintenance and updating of compliance manuals, policies, and training materials.
Identify and implement opportunities to improve compliance processes as the firm grows.
Provide ad hoc operational support as required.