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Compliance Director, Maternity Cover FTC

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: Jobtailor
Full Time, Seasonal/Temporary, Contract position
Listed on 2026-09-18
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Financial Compliance, Financial Crime, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 130000 - 170000 GBP Yearly GBP 130000.00 170000.00 YEAR
Job Description & How to Apply Below
  • Operate and continuously strengthen 17

    Capital's compliance and financial crime framework across regulated entities.
  • Manage, review and quality-control the work of two Compliance Associates.
  • Lead investor onboarding, investor transfer and transactional AML processes.
  • Oversee market abuse and MNPI controls, information barriers, approvals and chaperoning arrangements.
  • Own the Compliance Monitoring Programme and heatmap, tracking findings through remediation.
  • Design and maintain monitoring programmes across UK, US, Dubai and Japan regulated activities and jurisdictions.
  • Maintain the Compliance calendar and Compliance Alpha for regulatory deadlines and tasks.
  • Ensure accurate Compliance Committee papers and minutes.
  • Maintain compliance policies, procedures and registers; create new policies and processes.
  • Lead annual regulatory reports, including the Annual SYSC Report, Financial Crime Risk Assessment and Annual Compliance Officer Report.
  • Oversee ICARA, MIFIDPRU 8 disclosures, regulatory risk assessments and remuneration policy compliance.
  • Administer Code of Ethics, SMCR, Material Risk Takers, employee attestations, certifications and compliance training.
  • Oversee communications surveillance, personal account dealing, broker feeds, conflicts of interest and staff regulatory applications.
  • Review and approve financial promotions and client communications under FCA and SEC requirements.
  • Coordinate investor compliance due diligence questionnaires and support fundraising AML/KYC activities.
  • Oversee FATCA/CRS reporting across Luxembourg, UK and Guernsey.
  • Manage SEC filings including Form ADV and Form D, FCA reporting, DFSA/DIFC matters, Luxembourg/CSSF requirements and Canadian provincial filings.
  • Monitor and advise on regulatory change, data protection and ICO compliance matters.
  • Coordinate quarterly KPI submissions and support compliance-related service provider and outsourcing procurement.
  • Encourage AI and technology adoption to improve team efficiency.
Requirements
  • Substantial experience in a compliance leadership role within an FCA-regulated asset manager, ideally within private capital/alternatives.
  • Demonstrated experience managing, developing and reviewing the work of junior compliance staff.
  • Relevant professional qualification (e.g. ICA, CISI) preferred.
  • Strong working knowledge of FCA rules, including SYSC, COBS, MIFIDPRU, and Reg Data/FCA Connect reporting requirements.
  • Beneficial: knowledge of SEC regulatory requirements applicable to registered investment advisers, including Form ADV and Form D filings.
  • Beneficial: working knowledge of FATCA/CRS reporting obligations and administration.
  • Sound understanding of UK and international AML/KYC frameworks, including investor onboarding, transactional AML, and ongoing due diligence.
  • Familiarity with SMCR and the Material Risk Takers regime.
  • Understanding of market abuse regulation and MNPI/information barrier controls.
  • Exposure to DFSA/DIFC and Luxembourg/CSSF regulatory regimes is advantageous.
  • Awareness of UK data protection law and ICO requirements.
  • Experience with private funds/alternative asset manager compliance, ideally within private equity, credit, or NAV/preferred equity structures.
  • Excellent written and verbal communication skills.
  • Ability to liaise confidently with regulators, auditors, and institutional investors.
  • Ability to manage multiple regulatory deadlines across jurisdictions.
  • Pragmatic, solutions-oriented approach, comfortable operating in a lean, high-growth team.
Core Competencies

Demonstrates extensive expertise in compliance leadership within FCA-regulated environments, with a strong focus on AML/KYC frameworks, regulatory reporting, and compliance monitoring across multiple jurisdictions. Proven ability to manage and develop compliance teams while…

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