Group Head of Compliance / Money Laundering Reporting Officer MLRO (SMF17 / SMF16)
Group Head of Compliance / Money Laundering Reporting Officer MLRO (SMF17 / SMF16)

Group Head of Compliance / Money Laundering Reporting Officer MLRO (SMF17 / SMF16)

Full-Time 43200 - 72000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead compliance and financial crime prevention across a dynamic international group.
  • Company: Faza Holding, a high-growth international group in regulated financial services.
  • Benefits: Competitive salary, hybrid working model, and significant career growth opportunities.
  • Why this job: Shape compliance standards and make a real impact in a fast-paced environment.
  • Qualifications: Proven experience in compliance roles with strong AML knowledge required.
  • Other info: Join a collaborative team and tackle innovative compliance challenges.

The predicted salary is between 43200 - 72000 £ per year.

Faza Holding is an international group of companies operating across regulated financial services and technology. The group includes a UK FCA-regulated Electronic Money Institution (EMI) and technology platforms in the US.

We are hiring a Group Head of Compliance/MLRO to lead compliance and financial crime prevention across the group. This role is a major opportunity for professional growth and career progression. We are looking for a strong, proactive compliance leader with a solid AML foundation, who is ready to take ownership, build and scale processes, and drive compliance as a strategic function across multiple entities, products, and jurisdictions.

You will have high visibility, direct exposure to senior leadership, and the ability to shape compliance standards across the group - from more traditional EMI and payments compliance to complex and evolving areas including crypto-related processes.

Key Responsibilities
  • Serve as the Group Head of Compliance/MLRO and act as a key point of contact with relevant regulators and external stakeholders (including the FCA where applicable).
  • Develop, implement, and maintain a robust group-wide compliance and financial crime prevention framework, aligned with applicable regulatory requirements and best practices.
  • Design and establish compliance policies, procedures, and controls, ensuring full coverage across the group’s entities, products, and operational processes.
  • Conduct and oversee risk assessments, transaction monitoring governance, suspicious activity reporting (SARs), and enhanced due diligence (EDD).
  • Prepare and submit relevant regulatory reports and compliance documentation (e.g., regulatory returns, financial crime reports, governance reporting, and SMCR-related responsibilities where applicable).
  • Act as a senior compliance leader under strong governance principles, ensuring accountability and clear oversight across the group’s compliance structure.
  • Advise the Board and senior management on compliance and financial crime risks, obligations, emerging trends, and best practices.
  • Provide training, guidance, and day-to-day support to teams to foster a strong compliance culture across the group.
  • Lead regulatory change management, ensuring the group stays ahead of evolving rules, industry standards, and financial crime typologies.
  • Scale and manage the compliance function as the group expands, providing leadership, mentorship, and operational structure.
  • Serve as an independent and trusted voice within the business, ensuring ethical and regulatory standards are met while supporting commercial growth.
  • Maintain up-to-date knowledge of industry standards and best practices related to compliance and financial crime prevention.
  • Ensure robust customer due diligence processes, including identification and verification of clients and beneficial owners, and clear documentation of the nature and purpose of client relationships.
  • Document and maintain financial crime risk management policies and the group’s overall risk profile.
  • Oversee governance, resourcing, and implementation of transaction screening and monitoring systems, ensuring effectiveness and appropriate performance oversight.
  • Provide information and reporting to the governing body and senior management, including the annual MLRO report on the effectiveness of AML systems, controls, and financial crime risk management.
Requirements
  • Proven track record in Compliance, MLRO (SMF17 / SMF16), Deputy MLRO, or similar compliance role within a regulated financial services environment (fintech, payments, EMI, banking, crypto, or related sectors).
  • Strong knowledge of UK regulatory and AML frameworks, including EMRs, PSD2, FCA Handbook, MLR 2017, and JMLSG guidance.
  • Demonstrated experience in building and improving compliance and AML frameworks from the ground up, including policies, procedures, controls, and governance.
  • Strong understanding of AML/CTF, sanctions, fraud, and financial crime risks, including transaction monitoring principles and risk-based controls design.
  • Experience in preparing and submitting regulatory returns and compliance reporting (including FCA-related reporting where applicable).
  • Excellent leadership skills with the ability to work hands-on and operationally, while also developing into a strategic leader capable of scaling the function and managing a team.
  • Strong analytical, problem-solving, and communication skills, with the ability to influence and advise senior stakeholders and Board-level management.
  • High integrity, resilience, independence, and sound judgement, with the ability to balance regulatory requirements with commercial objectives.
  • Confidence to take ownership and lead processes end-to-end, while also knowing when to involve external expertise for specialised areas (e.g., complex cross-border requirements, crypto-related processes, or new regulatory expectations).
  • UK recognised AML / MLRO certification is required or strongly preferred, such as CAMS (ACAMS) and/or ICA International Diploma in Anti Money Laundering / Compliance.
  • Minimum 3–5 years of relevant experience in compliance and AML roles.
  • Degree in finance, business administration, law, or a related field is preferred.
  • Right to work in the UK is required, and the candidate should be based in London (or within commuting distance).
Languages
  • Fluent English is required.
  • Russian language skills are a strong advantage.
What We Offer
  • A unique opportunity to join a high-growth international group at a senior leadership level.
  • A group-level leadership role with real ownership and autonomy, with the ability to build and scale a best-in-class Compliance and AML function across the group.
  • Significant career growth opportunities, including expanding scope, team-building, and long-term progression as the group scales.
  • Exposure to a wide range of compliance challenges across multiple entities, products, and jurisdictions, including both traditional financial services and innovative processes.
  • Competitive compensation package with potential long-term incentives.
  • Hybrid working model and a dynamic, innovative, and collaborative working environment with ambitious growth plans.

Group Head of Compliance / Money Laundering Reporting Officer MLRO (SMF17 / SMF16) employer: BEPI - British Electronic Payments Institution

Faza Holding is an exceptional employer, offering a unique opportunity for the Group Head of Compliance/MLRO to lead compliance and financial crime prevention in a high-growth international group. With a strong focus on professional development, employees benefit from significant career growth opportunities, a competitive compensation package, and a dynamic hybrid working environment that fosters innovation and collaboration. This role provides high visibility and direct exposure to senior leadership, allowing you to shape compliance standards across diverse entities and jurisdictions.
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Contact Detail:

BEPI - British Electronic Payments Institution Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Group Head of Compliance / Money Laundering Reporting Officer MLRO (SMF17 / SMF16)

✨Tip Number 1

Network like a pro! Reach out to your connections in the compliance and financial services sectors. Attend industry events or webinars to meet potential employers and get your name out there. Remember, it’s all about who you know!

✨Tip Number 2

Prepare for interviews by researching the company inside out. Understand their compliance challenges and think about how your experience can help them tackle these issues. Show them you’re not just another candidate; you’re the solution they need!

✨Tip Number 3

Don’t underestimate the power of follow-ups! After an interview, send a thank-you email expressing your appreciation for the opportunity. It keeps you on their radar and shows your enthusiasm for the role.

✨Tip Number 4

Apply directly through our website! It’s often the best way to get noticed. Tailor your application to highlight your relevant skills and experiences that align with the Group Head of Compliance/MLRO role. Let’s make sure you stand out!

We think you need these skills to ace Group Head of Compliance / Money Laundering Reporting Officer MLRO (SMF17 / SMF16)

Compliance Leadership
AML Framework Development
Regulatory Knowledge
Risk Assessment
Transaction Monitoring
Suspicious Activity Reporting (SARs)
Enhanced Due Diligence (EDD)
Regulatory Reporting
Financial Crime Prevention
Stakeholder Communication
Team Management
Training and Guidance
Analytical Skills
Problem-Solving Skills
Integrity and Sound Judgement

Some tips for your application 🫡

Tailor Your CV: Make sure your CV is tailored to the Group Head of Compliance/MLRO role. Highlight your relevant experience in compliance and AML, and don’t forget to showcase any leadership roles you've had. We want to see how you can bring your unique skills to our team!

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you're the perfect fit for this role. Share specific examples of your achievements in compliance and how they align with what we’re looking for at Faza Holding. Let your personality come through!

Showcase Your Knowledge: We’re keen on candidates who understand the UK regulatory landscape and AML frameworks. In your application, mention any relevant certifications or training you've completed. This shows us that you’re serious about compliance and ready to hit the ground running!

Apply Through Our Website: While you might find our job listing on Indeed, we encourage you to apply directly through our website. It helps us keep track of applications better and ensures you get the best experience during the process. Plus, it shows us you’re genuinely interested in joining our team!

How to prepare for a job interview at BEPI - British Electronic Payments Institution

✨Know Your Regulations

Make sure you brush up on UK regulatory frameworks and AML guidelines before the interview. Being able to discuss specific regulations like the FCA Handbook or MLR 2017 will show that you're not just familiar with compliance but are also ready to lead in this area.

✨Showcase Your Leadership Skills

Prepare examples of how you've built or improved compliance frameworks in previous roles. Highlight your experience in leading teams and managing compliance functions, as this role requires a strong leader who can scale operations effectively.

✨Be Ready for Scenario Questions

Expect questions that ask how you would handle specific compliance challenges or regulatory changes. Think through potential scenarios related to financial crime prevention and be prepared to discuss your approach to risk assessments and suspicious activity reporting.

✨Demonstrate Your Strategic Vision

This role is about more than just compliance; it's about driving it as a strategic function. Be ready to talk about how you would align compliance with business objectives and foster a strong compliance culture across the group.

Group Head of Compliance / Money Laundering Reporting Officer MLRO (SMF17 / SMF16)
BEPI - British Electronic Payments Institution

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