Description
A suitable candidate will be a seasoned and experienced Chief Compliance Officer for a financial institution in the UK with strong interpersonal, project management and stakeholder management skills, and one who thrives working in a fast-paced environment.
Regulatory Compliance & Risk Management
- Design, develop and implement the UK compliance framework that aligns with long-term organisational goals and adheres to FCA regulations and guidelines.
- Lead regulatory engagement, maintain open and constructive relationships with the FCA and other regulatory bodies, and engage with auditors and banking partners from a compliance perspective.
- Communicate compliance updates and regulatory changes to senior management and relevant stakeholders.
- Monitor and assess the organisation’s compliance with relevant laws, regulations, and internal policies.
- Stay abreast of changes in regulatory requirements, industry standards and update compliance policies accordingly.
- Identify, assess, and mitigate compliance risks across the organization.
- Collaborate with other departments to integrate compliance considerations into business processes and decision‑making.
Policy Development & Training
- Develop and enforce compliance policies and procedures to guide the organisation’s operations.
- Design and deliver compliance training programs to educate employees on regulatory requirements and internal policies.
- Foster a culture of compliance within the organisation by promoting ethical behavior and adherence to regulatory standards.
Commercial Awareness
- Strong understanding of the UK and international regulatory landscape, with the ability to anticipate changes and assess their impact on business strategies.
- Demonstrates capability to balance regulatory obligations with commercial objectives, ensuring compliance supports sustainable growth.
- Ability to communicate complex compliance issues in a clear, pragmatic way that resonates with commercial teams and senior leadership.
- Proven track record of acting as a trusted advisor to the Board and Executive Committee, influencing strategic decisions with sound compliance judgment.
- Demonstrates ability to embed compliance into the broader business agenda.
Experience and Qualifications/Capabilities
- 10 years (+) in general regulatory compliance either in financial institutions or reputable international consulting firms.
- Work experience in e‑commerce, payments or card schemes industry is preferred.
- Ability to collaborate cross‑functionally and manage different stakeholders within the organisation.
- Demonstrated ability to work independently in a fast‑paced environment.
- Able to provide pragmatic and considered advice under tight deadlines.
- Possess a practical approach to problem‑solving and be able to counsel internal clients with clear and concise advice.
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