Legal & Compliance Manager – Hedge Funds

Company: Compliance Professionals
Apply for the Legal & Compliance Manager – Hedge Funds
Location: London
Job Description:

Legal & Compliance Manager – Hedge Funds

Legal & Compliance Manager – Hedge Funds

1 day ago Be among the first 25 applicants

Compliance Professionals provided pay range

This range is provided by Compliance Professionals. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.

Base pay range

THE COMPANY:

Our client is a specialist alternative asset manager. They are looking for a qualified solicitor with a minimum of three years’ post-qualification experience in a buy-side environment to join as Legal and Compliance Manager.

Please note, this role requires 5 days in the office.

THE RESPONSIBILITIES:

Legal:

  • Support the COO and the Board in managing legal matters across the firm and its fund structures, including engagement with external legal counsel.
  • Monitor and mitigate legal risks, implementing appropriate controls and strategies.
  • Assist in maintaining an efficient UK and offshore corporate structure for both regulated and unregulated activities.
  • Oversee governance of fund entities, liaising with fund boards and company secretaries.
  • Ensure fund offering documents are accurate, compliant, and up to date.
  • Advise on legal aspects of investor communications and fund operations.
  • Draft, review, and negotiate a range of legal agreements, including investment, counterparty, supplier, and employment contracts.
  • Establish and maintain a robust legal and governance framework for the firm’s cryptocurrency program.
  • Support the maintenance of HR policies and the staff handbook.
  • Assist with company secretarial duties, including board meeting coordination and statutory record-keeping.

Compliance:

  • Maintain and oversee the firm’s compliance framework, including the Compliance Manual, policies, and monitoring programme.
  • Ensure ongoing compliance with FCA regulations (including IPRU-INV and MIFIDPRU) and US regulatory requirements (NFA/CFTC).
  • Conduct regular reviews of the firm’s ICARA and risk register.
  • Oversee financial crime compliance, including MLRO reviews and AML/KYC procedures.
  • Qualify prospective investors as professional clients under applicable rules.
  • Review and approve marketing materials and financial promotions in line with regulatory standards.
  • Provide compliance guidance to the business development team, particularly on cross-border marketing rules.
  • Prepare and submit non-financial regulatory filings to relevant authorities.
  • Monitor staff training to ensure alignment with regulatory obligations.
  • Coordinate responses to AML/KYC requests from counterparties and investment entities.
  • Ensure adherence to data protection and privacy regulations.

EXPERIENCE REQUIRED:

  • UK-qualified solicitor with a minimum of three years’ post-qualification experience in a buy-side legal or compliance role.
  • Strong understanding of FCA and NFA/CFTC regulatory frameworks. Familiarity with MIFIDPRU/IPRU-INV is advantageous. Experience in managed futures or derivatives is preferred.
  • Demonstrated experience in legal and compliance functions within an investment management or hedge fund environment.
  • Working knowledge of onshore and offshore fund structures and their regulatory implications.
  • Proficiency in reviewing and negotiating legal agreements and regulatory documentation.
  • Strong ability to manage compliance records, policy updates, and governance processes.
  • Excellent interpersonal and communication skills, with the ability to liaise effectively with internal stakeholders, external counsel, and regulatory bodies.

For further information please contact Spencer Evans

Seniority level

  • Seniority level

    Mid-Senior level

Employment type

  • Employment type

    Full-time

Job function

  • Job function

    Finance and Legal

  • Industries

    Investment Management and Financial Services

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Posted: May 31st, 2026