Compliance Director – Boutique Wealth Management Firm
London (4 days office / 1 day home)
£135k–£145k + 10% pension + private healthcare.
The Opportunity
A leading wealth management firm is seeking an experienced and commercially minded Compliance Director to lead its compliance function, replacing the outgoing officer. This is a senior leadership role with SMF16/17 responsibilities.
Key Responsibilities
- Lead all aspects of regulatory compliance, covering FCA, AML, MiFID II, and Consumer Duty requirements.
- Act as SMF16/17, reporting into the CEO.
- Mentor and manage the Compliance function, fostering a strong compliance culture.
- Navigate the business through a period of transformation as new ownership increases its control and implements a strategic plan.
- Enhance compliance’s role within the business, ensuring it supports commercial objectives.
What We’re Looking For
- 15–20 years of compliance experience within wealth management or financial services.
- Strong AML expertise, particularly relevant for evolving business requirements.
- Exposure to US regulation would be highly advantageous.
- Experience with Swiss banks or the Swiss regulatory environment is desirable.
- A commercially astute, down-to-earth, and culturally aligned leader.
- Proven ability to influence senior stakeholders and communicate effectively.
- Minimum CISI Level 4 qualification, with Level 6 or equivalent preferred.
Apply now to be considered for this opportunity.
Contact Detail:
BWD Search & Selection Recruiting Team