The purpose of this role is to assist the Group Head of Compliance & Risk in carrying out the compliance function for our Client's business, ensuring that the Group companies and their Clients comply with the law and the relevant policies and procedures, and by assisting with standalone or ongoing projects intended to support or extend the compliance function. As the role holder you will also expected to contribute to the ongoing development and maintenance of an effective compliance function.
As the ideal candidate, you will have a minimum of 5 years’ financial services industry experience in a Trust, Funds and Company compliance environment and will possess a relevant professional qualification. You will also have a good understanding of anti-money laundering and client due diligence requirements for a financial service business and its Clients.
For more information on this role please contact Della on 707813 or email your CV to firstname.lastname@example.org