Senior Compliance Officer

Senior Compliance Officer

Full-Time 100000 - 120000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead compliance efforts and ensure regulatory adherence across multiple jurisdictions.
  • Company: Join a top hedge fund focused on innovative asset management strategies.
  • Benefits: Enjoy a competitive salary, discretionary bonuses, and flexible remote work options.
  • Why this job: Be part of a fast-paced, entrepreneurial culture with high autonomy and impact.
  • Qualifications: 5+ years in compliance, expertise in FCA and SEC regulations required.
  • Other info: Collaborate closely with senior leadership and shape compliance frameworks.

The predicted salary is between 100000 - 120000 £ per year.

Job Description

Location: London, UK (4 days in office)\\n\\nSalary: £120,000 – £140,000 + discretionary bonus (25-30%)\\n\\nIndustry: Hedge Fund / Asset Management\\n\\nExperience Level: Senior (5+ years)\\n\\nThe Role\\n\\nA leading hedge fund is seeking a Senior Compliance Officer to oversee and enhance its compliance framework. This role requires a deep understanding of FCA and SEC regulations, as well as experience working within equity long/short and derivatives strategies (futures & options).\\n\\nThe successful candidate will play a critical role in ensuring regulatory compliance across multiple jurisdictions (UK, US, and potentially Dubai and CFTC markets) while fostering a strong internal compliance culture.\\n\\nKey Responsibilities\\n\\nRegulatory Compliance & Oversight\\n\\n• Act as a senior compliance lead for all FCA and SEC regulatory matters, with additional oversight of DFSA and CFTC compliance where applicable.\\n\\n• Develop, implement, and enhance compliance policies, frameworks, and procedures to meet multi-jurisdictional regulatory requirements.\\n\\n• Manage regulatory reporting obligations, including FCA filings (GABRIEL, SMCR compliance), SEC Form PF, and other required disclosures.\\n\\n• Conduct compliance monitoring, trade surveillance, and regulatory risk assessments.\\n\\nAdvisory & Risk Management\\n\\n• Provide strategic compliance guidance to senior management, trading desks, and investment teams.\\n\\n• Identify and mitigate compliance risks related to trading, market abuse, conflicts of interest, and best execution.\\n\\n• Stay ahead of regulatory developments and ensure compliance processes align with industry changes.\\n\\nSEC & FCA Compliance Focus\\n\\n• Ensure compliance with SEC regulations, including the Investment Advisers Act, Form ADV updates, and US marketing rules.\\n\\n• Oversee FCA compliance, including SYSC, COBS, MAR, and hedge fund-specific obligations.\\n\\n• Respond to regulatory audits, inquiries, and inspections from relevant authorities.\\n\\nInternal Compliance Culture & Training\\n\\n• Develop and lead compliance training programs on AML, market conduct, insider trading, and regulatory best practices.\\n\\n• Promote a culture of compliance across all business areas.\\n\\nLegal & Governance Support\\n\\n• Assist with regulatory filings, contract negotiations, and compliance-related legal matters.\\n\\n• Work closely with external counsel and regulators.\\n\\n• Manage internal governance reporting and compliance board updates.\\n\\nKey Requirements\\n\\nMust-Have Experience:\\n\\n✅ 5+ years in a senior compliance role within a hedge fund, asset manager, or financial institution.\\n\\n✅ Expertise in both FCA and SEC regulations, with direct experience managing compliance frameworks for both jurisdictions.\\n\\n✅ Strong knowledge of hedge fund structures, trading strategies, and regulatory frameworks for equity long/short and derivatives (futures & options).\\n\\n✅ Experience leading compliance monitoring programs and regulatory reporting.\\n\\n✅ Hands-on approach, with the ability to operate in a lean but high-performing team.\\n\\nHighly Desirable:\\n\\n⭐ Experience with Dubai DFSA or CFTC regulations.\\n\\n⭐ Legal background or exposure to contract law, regulatory law, and governance frameworks.\\n\\n⭐ Familiarity with AML, KYC, and financial crime regulations.\\n\\n⭐ Knowledge of SEC Form PF, CFTC filings, and cross-border compliance obligations.\\n\\nCulture & Work Environment\\n\\n• Fast-paced, entrepreneurial environment, ideal for compliance professionals who enjoy proactive problem-solving.\\n\\n• High level of autonomy – opportunity to take ownership of compliance functions.\\n\\n• Collaborative team, working closely with senior leadership.\\n\\n• Four days in the London office, with some flexibility for remote work.\\n\\nCompensation & Benefits\\n\\n💰 Salary: £120,000 – £140,000 base\\n\\n💰 Bonus: 25-30% discretionary bonus\\n\\n📍 Office: London (4 days in-office)\\n\\n🌍 Exposure to global compliance markets (UK, US, Dubai, CFTC)\\n\\n📈 Opportunity to shape and enhance compliance frameworks in a leading hedge fund

Senior Compliance Officer employer: Fifteen Network

Join a leading hedge fund in London as a Senior Compliance Officer, where you will thrive in a fast-paced, entrepreneurial environment that values proactive problem-solving and offers a high level of autonomy. With competitive compensation, including a base salary of £120,000 - £140,000 and a discretionary bonus of 25-30%, you will have the opportunity to shape compliance frameworks across multiple jurisdictions while collaborating closely with senior leadership. Enjoy a supportive work culture that promotes employee growth and flexibility, with four days in the office and the chance to make a meaningful impact in the compliance landscape.
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Contact Detail:

Fifteen Network Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Senior Compliance Officer

✨Tip Number 1

Make sure to stay updated on the latest FCA and SEC regulations. This knowledge will not only help you in interviews but also demonstrate your commitment to compliance, which is crucial for this role.

✨Tip Number 2

Network with professionals in the hedge fund and asset management industry. Attend relevant conferences or webinars to connect with potential colleagues and learn about the latest trends and challenges in compliance.

✨Tip Number 3

Prepare to discuss specific compliance frameworks you've developed or enhanced in previous roles. Be ready to share examples of how you've managed regulatory reporting obligations and compliance monitoring programs.

✨Tip Number 4

Familiarize yourself with the company's culture and values. Understanding their approach to compliance and risk management will help you align your answers during the interview and show that you're a good fit for their team.

We think you need these skills to ace Senior Compliance Officer

FCA and SEC Regulatory Knowledge
Compliance Framework Development
Regulatory Reporting Management
Trade Surveillance
Risk Assessment
Strategic Compliance Advisory
Market Abuse Mitigation
AML and KYC Regulations
Internal Compliance Training
Contract Negotiation
Governance Reporting
Experience with DFSA and CFTC Regulations
Knowledge of Hedge Fund Structures
Hands-on Problem Solving
Collaboration with Senior Leadership

Some tips for your application 🫡

Understand the Role: Make sure to thoroughly read the job description and understand the key responsibilities and requirements. Highlight your relevant experience in FCA and SEC regulations, as well as your familiarity with hedge fund structures.

Tailor Your CV: Customize your CV to reflect your experience in compliance roles, particularly within hedge funds or asset management. Emphasize your expertise in regulatory frameworks and any specific achievements related to compliance monitoring and reporting.

Craft a Strong Cover Letter: Write a compelling cover letter that showcases your passion for compliance and your understanding of the regulatory landscape. Mention how your skills align with the company's needs and your ability to foster a strong internal compliance culture.

Highlight Relevant Skills: In your application, make sure to highlight your hands-on approach, problem-solving skills, and experience in leading compliance training programs. These are crucial for the role and will set you apart from other candidates.

How to prepare for a job interview at Fifteen Network

✨Showcase Your Regulatory Knowledge

Make sure to demonstrate your deep understanding of FCA and SEC regulations during the interview. Be prepared to discuss specific compliance frameworks you've managed and how they align with multi-jurisdictional requirements.

✨Highlight Relevant Experience

Emphasize your 5+ years of experience in a senior compliance role, particularly within hedge funds or asset management. Share examples of how you've successfully navigated compliance challenges and contributed to a strong internal compliance culture.

✨Prepare for Scenario-Based Questions

Expect scenario-based questions that assess your problem-solving skills in compliance situations. Think about past experiences where you identified and mitigated compliance risks, and be ready to explain your thought process.

✨Demonstrate Leadership and Collaboration Skills

Since this role involves providing strategic guidance to senior management and working closely with various teams, be sure to highlight your leadership experience and ability to foster collaboration across departments.

Senior Compliance Officer
Fifteen Network
F
  • Senior Compliance Officer

    Full-Time
    100000 - 120000 £ / year (est.)

    Application deadline: 2027-03-19

  • F

    Fifteen Network

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