Role Responsibilities:
- Supporting the compliance manager and SMF16 holder with all aspects of providing advice to the wealth business
- Regulatory updates and policy amendments
- Complaints advisory
- Training delivery to the business
Qualifications:
- Minimum 4 years of compliance, preferable in a wealth manager or private bank
- Compliance generalist or advisory experience highly desirable
- Strong written communication skills will be key with high attention to detail
- CISI, ICA or similar diploma's would be of interest
- Ability to work in a fast paced environment