Head of Compliance - Chester - Aimee Willow Connex : Job Details

Head of Compliance - Chester

Aimee Willow Connex

Job Location : Chester, UK

Posted on : 18/10/2024 - Valid Till : 29/11/2024

Job Description :

Role and Responsibilities:

  • Working with the firm’s Chief Risk & Compliance Officer/MLRO to ensure the firm remains in compliance with its regulatory obligations (including, but not limited to, SMCR, the Consumer Duty and Relevant FSMA regulated activities).
  • Second line of defence, facilitating the building and/or monitoring/challenging the first line of defence controls within the firm’s risk and compliance framework.
  • Support the delivery and effectiveness of the firms Non-Financial Risk management framework, and the Enterprise Risk management framework.
  • Responsible for the firm’s whistleblowing framework, ensuring that staff are aware of the policy and that the whistle-blowers are protected and their names remain confidential.

Working with and as part of the firm’s Core Management Team you will:

  • Monitor and interpret regulatory change and developments to ensure the impact on the business is highlighted and assessed;
  • Oversee any projects to implement regulatory change;
  • Ensure that changes required to the Firm’s policies and procedures are pro-actively evaluated, identified and remedied;
  • Contribute to assessments to ensure the integrity of compliance policies and controls in place;
  • Complete internal risk assessments where appropriate;
  • Provide reports for senior management on current, emerging and thematic risks and issues;
  • Ensure staff familiarity with compliance procedures;
  • Oversee a regular programme of compliance monitoring to FCA standards and ensure the company is fully compliant with current rules;
  • Contribute to product reviews and new product creation to ensure product governance;
  • Oversight of any financial promotions to ensure they are compliant and fair, clear and not misleading;
  • Providing training support and advice across the business and ensure all staff meet the training and competence requirements;
  • Input on all FCA regulatory reporting (RegData, Connect etc);
  • Acting as point of contact with the FCA and other regulatory bodies where required and communicating effectively with them;
  • Identification and monitoring of risks for the business and taking responsibility for managing Risk;
  • Manage the periodic reporting to the firm’s Senior Management to identify compliance priorities and risks;
  • Create and sustain a positive compliance culture within the business.

Core Competencies and Knowledge:

  • Extensive knowledge of the relevant regulatory landscape (including but not limited to FSMA, CCA and relevant provisions of FCA Handbook)
  • Senior compliance officer level experience is essential;
  • Capable of managing complexity;
  • Strong communication skills - able to articulate complex matters simply;
  • Strong diplomacy and negotiating - able to reach acceptable conclusion where there are divergent views, but stand firm where that is required;
  • Possess great personal and professional integrity - highly credible and respected by key partners;
  • Strong judgement - able to identity and focus on key issues and guide and advise others.
  • Experience of managing and developing colleagues across multiple locations.
  • Skilled communicator with experience in dealing with a range of stakeholders including executives and other senior leaders.
  • Commercially aware with the ability to make decisions that identify and consider risks specific to the business.

Salary : 80000 - 120000

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