Head of Policy & Regulatory Affairs
Head of Policy & Regulatory Affairs

Head of Policy & Regulatory Affairs

Full-Time 72000 - 108000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead compliance initiatives and develop policies to ensure regulatory adherence.
  • Company: Join Fidelity Digital Assets, a leader in digital asset management and compliance.
  • Benefits: Enjoy competitive pay, flexible working options, and a dynamic work environment.
  • Why this job: Make a real impact in the evolving world of digital assets and compliance.
  • Qualifications: 10+ years in asset management with strong knowledge of UK regulations and AML frameworks.
  • Other info: Work closely with global teams and influence key decision-makers.

The predicted salary is between 72000 - 108000 £ per year.

Job Description: Chief Compliance Officer, MLRO Fidelity Digital Assets, Ltd. The Role The Chief Compliance Officer and Money Laundering Reporting Officer (MLRO) for FDA Ltd. has a significant role in protecting the interests of the Fidelity organisation and its clients. The individual will oversee, develop, and implement programmes to support FDA Ltd\’s compliance with the FCA rules. This includes creating, monitoring, and reviewing policies, procedures, and systems to ensure compliance and minimise risks. Additional responsibilities include identification and co-ordination of projects with internal and external partners, development, and delivery of compliance training, monitoring for regulatory changes and industry trends, and overall development of an effective compliance programme. As Head of AML/CFT for FDA Ltd., responsibilities include development and implementation of an effective anti-money laundering and counter terrorist financing compliance program and acting as the MLRO. The Expertise and Skills You Bring Responsible for compliance with obligations including receipt and oversight of compliance related services for FDA Ltd. Assist FDA Ltd in addressing general and specific compliance matters and with the overall compliance programme (including FCA digital asset requirements). Provide input and identify solutions to senior management concerning compliance issues in a timely and effective manner. Develop, implement and maintain effective policies and procedures; maintain a Compliance Manual and policies to ensure effective coverage of FDA Ltd\’s regulatory requirements. Train and advise FDA Ltd\’s staff on regulatory requirements and promote compliance awareness. Maintain relationships with local regulators and self-regulatory organisations regarding compliance matters. Evaluate FDA Ltd\’s systems and controls for adequacy in identifying compliance or regulatory breaches and communicate breaches and the resolution/status of issues to senior management in FDA Facilitate regulatory inquiries and examinations, working in co-ordination with compliance colleagues in the UK, US and Ireland Lead regulatory reports and external inspections and make regulatory filings and applications as appropriate. Liaise with Legal function and external counsel as appropriate on regulatory matters. Maintain open channels of communication with all relevant functional areas (e.g. Ethics Office; Global Sanctions/Anti-Corruption Program Office; Corporate Communications) and report regularly to senior management about activities of FDA Ltd. Work closely with technology team and senior management to define detailed business requirements for systems initiatives aimed at improving the operating efficiencies and monitoring capabilities of the group. Ensuring an effective risk-based AML/CTF/Sanctions Compliance Programme including anti-money laundering, anti-terrorist financing and government and economic sanctions requirements Maintaining an AML risk assessment framework for the Firm tailored to the Firm\’s money laundering and terrorist financing risk profile and ensuring adequate policies, procedures and controls are in place that are commensurate with the FDA Ltd assessment of the risks identified. Conducting, assurance testing programme on the AML/CTF controls and procedures of the Firm. Assist in the running of the KYC program of FDA Ltd. Working closely with third party service providers to implement any identified compliance, AML/CTF and financial sanctions related changes to its processes on time and effectively. Responsible for the complete and timely submission of suspicious transaction reports. Requirements ~ Excellent spoken and written communication skills ~ Ability to influence key decision-makers through a combination of knowledge, reasoning, and relationships. ~ Ability to work collaboratively with different functions and multi-site operations. ~ Ability to analyse, interpret, and communicate regulatory guidance to support business unit initiatives and advise leaders how to proceed from a compliance perspective. ~ Bachelor degree or equivalent (business, legal, finance or securities-related field preferred) ~10+ years experience in an asset management or securities related environment, preferably in digital assets and with a solid understanding of regulatory compliance matters. ~ Knowledge of UK regulatory requirements applicable to digital asset firms. ~ Deep understanding of AML/CTF/Sanctions frameworks and the implementation of policies, controls and procedures including KYC requirements The Team This individual reports to the Chief Compliance Officer for Fidelity Digital Assets, a full-service, enterprise grade platform for securing, trading, and supporting investments in digital assets. Fidelity Digital Assets is a subsidiary of Fidelity Investments and operates as a separate business dedicated to digital assets Certifications: Category: Compliance #J-18808-Ljbffr

Head of Policy & Regulatory Affairs employer: Fidelity Investments

Fidelity Digital Assets is an exceptional employer, offering a dynamic work environment that prioritises compliance and regulatory excellence in the rapidly evolving digital asset space. With a strong commitment to employee growth, we provide comprehensive training and development opportunities, fostering a culture of collaboration and innovation. Located in a vibrant financial hub, our team enjoys the unique advantage of working alongside industry leaders while contributing to meaningful projects that protect our clients' interests.
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Contact Detail:

Fidelity Investments Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Head of Policy & Regulatory Affairs

✨Tip Number 1

Network with professionals in the compliance and regulatory affairs sector, especially those with experience in digital assets. Attend industry conferences or webinars to connect with potential colleagues and learn about the latest trends and challenges in the field.

✨Tip Number 2

Stay updated on UK regulatory requirements specific to digital asset firms. Subscribe to relevant newsletters or follow regulatory bodies on social media to ensure you are aware of any changes that could impact your role.

✨Tip Number 3

Demonstrate your expertise by engaging in discussions on platforms like LinkedIn or industry forums. Share insights on AML/CTF frameworks and compliance strategies to showcase your knowledge and attract attention from hiring managers.

✨Tip Number 4

Consider obtaining certifications related to compliance and regulatory affairs, particularly those focused on digital assets. This can enhance your credibility and show your commitment to staying informed and qualified in this rapidly evolving field.

We think you need these skills to ace Head of Policy & Regulatory Affairs

Regulatory Compliance
Anti-Money Laundering (AML)
Counter Terrorist Financing (CTF)
Risk Assessment
Policy Development
Compliance Training
Communication Skills
Stakeholder Management
Project Coordination
Regulatory Reporting
Legal Knowledge
Analytical Skills
Problem-Solving Skills
Collaboration Skills
Knowledge of FCA Rules
Understanding of Digital Asset Regulations

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights relevant experience in compliance, regulatory affairs, and AML/CTF frameworks. Use specific examples that demonstrate your ability to develop and implement compliance programmes.

Craft a Compelling Cover Letter: In your cover letter, express your passion for compliance and regulatory affairs. Mention your understanding of the digital asset landscape and how your skills align with the responsibilities outlined in the job description.

Showcase Communication Skills: Given the importance of communication in this role, provide examples in your application that showcase your excellent spoken and written communication skills. Highlight instances where you influenced decision-makers or trained staff on compliance matters.

Highlight Relevant Experience: Emphasise your 10+ years of experience in asset management or securities-related environments. Detail your familiarity with UK regulatory requirements and any specific achievements related to compliance in digital assets.

How to prepare for a job interview at Fidelity Investments

✨Know Your Regulatory Framework

Familiarise yourself with the UK regulatory requirements specific to digital asset firms. Be prepared to discuss how these regulations impact compliance strategies and how you would implement them effectively.

✨Demonstrate Leadership Skills

As a Head of Policy & Regulatory Affairs, showcasing your ability to lead teams and influence decision-makers is crucial. Prepare examples of past experiences where you successfully led compliance initiatives or managed cross-functional teams.

✨Prepare for Scenario-Based Questions

Expect questions that assess your problem-solving skills in real-world compliance scenarios. Think about potential challenges in AML/CTF compliance and how you would address them, including your approach to training staff and maintaining relationships with regulators.

✨Showcase Communication Skills

Excellent communication is key in this role. Be ready to demonstrate how you can convey complex regulatory information clearly and effectively to various stakeholders, including senior management and external partners.

Head of Policy & Regulatory Affairs
Fidelity Investments
F
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