A niche Alternative Investment Management firm is looking for a Compliance Officer to join their business, managing one direct report, a broad and varied role that will appeal to a dynamic, ambitious candidate either looking to make the step up to CF10 & 11 or has previously held that level of role for a few years. Successful candidates must also be comfortable working within a small office environment with a hands-on approach to working. Candidates must have a stable career background/CV.
- Advise the business and management team on a daily basis.
- Responsible for UK & overseas, including the US, compliance programmes, working with external support as and when required.
- Review & continually develop the compliance framework.
- Manage regulatory filings including, but not limited to, FCA Gabriel, Form ADV etc.
- Advise the business on all regulatory developments that may affect the business and run regulatory implementation projects as and when required.
- Attend and present at board meetings on a regular basis.
- At least 7 years Compliance experience working within an Alternatives Investment Management business.
- Experience of US regulations would be preferable.
- Dynamic individual with strong interpersonal skills to work with a range of personalities across the business.
- Good communicator, comfortable dealing with all levels of staff.
- Excellent oral and written communication skills
The CLARC Guarantee – we 100% guarantee that your CV will never be sent to a client without your prior expressed permission so all of your details are totally secure with us.
Apply for this role through this job post or email an application to email@example.com