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Compliance Manager

Full Time in Compliance & T&C
  • Barlborough, UK View on Map
  • Salary: £50,000 - £60,000
  • Additional package info + WFH flex, bonus & full company benefits

Job Description

The Company: A regional sized yet expanding wealth management firm looking to bring in a Compliance Manager to take on a broad internal compliance role inclusive of file review, T&C and some operational involvement too.

  • Office Location: Barlborough, North Chesterfield York
  • Hybrid/Home Working: Yes – Split between home/office

 

Package: £50-60k base DOE + discretionary bonus and full company benefits

  • Benefits: 5% company pension, 4 x salary death in service & Critical illness cover
  • Holidays: 25 days holiday + stats

 

The Role: An internal compliance role/remit spanning internal audit, T&C, governance and compliance oversight for the group. Duties include:

  • Ensure appropriate advice and sales procedures are in place for all business areas and these are followed
  • Ensures all employees who undertake distribution activities meet the FCA expectations in terms of knowledge, ability and repute
  • Regularly review the relevant individual’s client files as required by the firms’ relevant procedures
  • Checks as above but monitor checks for adherence to T&C scheme
  • Completion risk assessments of all advisers
  • T&C Scheme – Manage and implement and ensure adequate records are being maintained
  • Make sure all retail investment advisers hold PFS
  • Coach and develop junior advisers to attain competency including observations.
  • Conduct regular 1:1s with all Advisers ensuring behaviours and KPI’s are on track.
  • Complete all necessary changes/updates/applications to the FCA Directory/Register
  • Regular audit of processes to ensure being adhered to
  • Support the Sales Team in adhering to all best practices and processes.

 

The Person: Must be QCF level 4 Diploma qualified and be coming from an IFA/wealth management background. This is an all-encompassing compliance type role covering Adviser Compliance and T&C – So the motivation to take on a broad, all-encompassing remit is essential:

  • Required: Experience within internal compliance in a private wealth advice setting
  • Required: File checking experience and T&C/T&D responsibilities
  • Preferred: Adviser onboarding and induction experience

 

What next? Further questions? Keen to apply & register your interest? Please get in touch asap:

Chris – 07891479277 | chris@cb3associates.co.uk

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