Location
London
Advertising Salary
Competitve + Benefits
Contract Type
Permanent

About The Role

Purpose:
Reporting to the Senior Compliance Manager, Compliance Assurance, the role will be primarily focused on the execution of key elements of the Compliance Monitoring Assurance Plan across the 7IM Group as part of the Compliance Assurance team, who are responsible for the successful and timely delivery of the plan.

Whilst the role is focused on the execution of the various elements of the monitoring plan, there will be  opportunities to support & work with the wider Risk & Compliance Team as and when required. The role will also have direct interaction with the Head of Compliance Assurance and Chief Risk Officer, who is the accountable SMF for Risk, Compliance, Financial Crime, Data Protection and Client Complaints. 

Responsibilities:
Undertake elements of the risk-based compliance monitoring programme in line with the agreed schedule
Produce accurate and complete compliance reports to the business, ensuring that executive summaries are robust and succinct.
Maintain records of all outstanding issues raised during monitoring, working with the business to oversee them through to resolution
Work actively with the 7IM business teams to answer questions and resolve issues raised, offering practical solutions wherever possible
Work closely with the Risk Analytics team and the Data insight & analytics team to develop monitoring and reporting solutions to improve efficiency and enhance controls
Assist with the monthly production of compliance management information regarding the findings and observations made from monitoring in an accurate and timely manner for various governance forums as required
Assist with regulatory change projects and delivery of other compliance initiatives as required
Ad hoc, provide support with the investigation of complaints, including facilitating appropriate responses and assisting with root cause analysis
Ad hoc, provide support and cover for other members of the Assurance Team for periods of annual leave etc
Review and maintain or contribute to the development of new compliance policies and procedures in accordance with current and developing regulatory rules and guidance
Provide support for the Senior Compliance Manager overseeing the in-house ACD and 7IM Funds and Models range

About You

Knowledge:
Relevant compliance monitoring experience in retail financial services including Wealth Management (Financial Planning and Investment Management) and Fund Oversight (COLL), is key. SIPP and Platform Operations experience is also desirable. 
Excellent working knowledge of the relevant FCA sourcebooks including COBS, COLL, SYSC, MCOBs.
Experience of writing scoping documents for thematic reviews, ability to link back to internal process and regulations
Good general awareness of the financial services industry and financial markets 
Strong commitment to compliance principles and practices
Good awareness of aspects of the regulatory environment relevant to the role, and regulatory change.

Skills/Other relevant information:
Empathetic and client-centric focus
Experience of working in a fast-paced, dynamic business environment 
IT Literate - including good Excel, PowerPoint & Word skills 
Good written and oral communication skills including experience with report writing and delivery to senior members of staff
Good time management and ability to prioritise tasks where necessary
Pragmatic approach and ability to offer practical solutions, analysing Regulations and procedures in a compliant, yet business aware manner seeking to support the business’s objectives
Enthusiastic and keen to use initiative
Team player with understanding of key current and forthcoming regulatory developments

Education:
CISI Compliance Diploma or equivalent Professional industry qualifications
Good Academic qualifications: A-level or higher
Relevant industry experience

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