Senior Compliance Manager – SIPPs
Stirling, Scotland, United Kingdom – 2–3 days onsite, 3–6 month contract. Day rate contract.
Experienced senior SIPP / pensions compliance contractor needed to provide compliance support within a financial planning business.
Key responsibilities:
- BAU compliance oversight across SIPP and pensions
- Regulatory change, Consumer Duty and product governance
- FCA engagement, regulatory reporting and information requests
- Risk register management, capital adequacy, and board papers
- Review of member-facing materials and compliance documentation
- AML / Financial Crime input, adviser and investment due diligence
- Acting as Vulnerable Client Champion
- Liaison with second and third line on monitoring, audit, SMCR and complaints
Key requirements:
- Strong SIPP / pensions compliance background from financial planning / SIPP / wealth management businesses
- Technical FCA knowledge, including COBS
- Broad AML / Financial Crime understanding
- Able to operate autonomously and deliver straight away
Interested?
If you’re available on short notice and this aligns with your experience, please apply here.
#J-18808-Ljbffr”, “datePosted”: “2026-04-11”, “hiringOrganization”: { “@type”: “Organization”, “name”: “twenty84”, “sameAs”: “https://uk.whatjobs.com/pub_api__cpl__402725667__4861?utm_campaign=publisher&utm_medium=api&utm_source=4861&geoID=1129” }, “jobLocation”: { “@type”: “Place”, “address”: { “@type”: “PostalAddress”, “addressLocality”: “Stirling” } } }Senior Compliance Manager – SIPPs
Stirling, Scotland, United Kingdom – 2–3 days onsite, 3–6 month contract. Day rate contract.
Experienced senior SIPP / pensions compliance contractor needed to provide compliance support within a financial planning business.
Key responsibilities:
- BAU compliance oversight across SIPP and pensions
- Regulatory change, Consumer Duty and product governance
- FCA engagement, regulatory reporting and information requests
- Risk register management, capital adequacy, and board papers
- Review of member-facing materials and compliance documentation
- AML / Financial Crime input, adviser and investment due diligence
- Acting as Vulnerable Client Champion
- Liaison with second and third line on monitoring, audit, SMCR and complaints
Key requirements:
- Strong SIPP / pensions compliance background from financial planning / SIPP / wealth management businesses
- Technical FCA knowledge, including COBS
- Broad AML / Financial Crime understanding
- Able to operate autonomously and deliver straight away
Interested?
If you’re available on short notice and this aligns with your experience, please apply here.
#J-18808-Ljbffr…
