Compliance Officer - Alternative Asset Management - Interim
Job Description
As a member of the Legal & Compliance team, the UK Compliance Officer will work to support the continued evolution of the Firms compliance program, including related procedures, systems, monitoring/testing and regulatory filings.
Client Details
A global alternative investment firm with approximately £30 billion in assets, focused on asset-based investments.
Description
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Participate in projects to expand, improve, and refine the global compliance program, with particular focus on UK regulations.
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Conduct monitoring and testing of the firm's businesses in the UK, provide recommendations to remediate any identified issues and coordinate with colleagues to drive the closure of said issues.
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Perform electronic communication surveillance and follow-up with relevant stakeholders to address issues.
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Assist with the Firm's global privacy efforts, including those related to GDPR.
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Have day-to-day ownership of compliance with SMCR.
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Serve as a compliance resource for the firms employees based in the UK, as well as Ireland and other European offices.
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Support the CCO with the compliance training program in the UK, creating awareness of firm policies and procedures as well as FCA rules.
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Coordinate the development, review and administration of policies and procedures specific to the UK based businesses, as well as other European offices.
Profile
A successful Compliance Officer should have:
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Experience in wealth management, banking, private equity, hedge funds and/or other related asset management business(es).
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Strong 'generalist' Compliance experience within a buy-side firm would be advantageous.
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Familiarity with GDPR and wider UK statutory risk principles.
Job Offer
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Equivalent salary between £90,000 and £110,000, dependent on the level of experience.
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Benefits package to be confirmed.
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