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Senior Compliance Consultant- SEC experience required

Posted 9 days 7 hours ago by Compliance Professionals

Permanent
Not Specified
Other
London, United Kingdom
Job Description
THE COMPANY: Our client is a growing and dynamic boutique compliance consulting firm. Their core client base is comprised of asset managers regulated by the FCA. THE RESPONSIBILITIES:
  • Acting as the primary compliance resource for a number of retained client relationships
  • Providing strategic compliance advice over multiple regulators, anticipating the regulatory compliance needs of our clients
  • Providing clients with tailored and proportionate regulatory solutions to their compliance challenges, regulatory questions and issues
  • Understanding and updating clients on regulatory change and how it impacts their business
  • Setting up compliance infrastructures for clients and ensuring these remain "fit-for- purpose"
  • Undertaking compliance projects, monitoring reviews, and drafting compliance collateral both internally and externally
  • Conducting compliance training
  • Building and developing client relationships
  • Participating in business development events and initiatives and involvement in client sales presentations
EXPERIENCE REQUIRED:
  • MUST have SEC exposure
  • 7 - 10+ years' experience gained within a compliance, specialist or management consultancy, asset manager (including hedge funds, private equity, real estate and other alternatives), securities firms or a regulator such as the FCA, SEC, NFA, etc.
  • Thorough knowledge of the FCA Handbook and of U.S. regulations (SEC)
  • Experience of compliance monitoring or similar
  • Excellent customer service ethos
  • Ability to implement regulatory solutions to address the needs of the client
For further information please contact Duncan Jeffery
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