At a Glance
- Tasks: Join our Investments Compliance Team to deliver top-notch financial services solutions.
- Company: Thistle Initiatives is a multi-award-winning consultancy in the financial services sector.
- Benefits: Enjoy 25-30 days holiday, private medical insurance, and gym membership contributions.
- Why this job: Be part of a dynamic team with exciting projects and a supportive culture.
- Qualifications: Relevant financial services experience and qualifications like CISI IOC are essential.
- Other info: Perfect for self-starters looking to grow their careers in a vibrant environment.
The predicted salary is between 43200 - 72000 £ per year.
Thistle Initiatives is a multi-award-winning regulatory consultancy, providing expert compliance advice and support across the financial services sector. Our clients range from niche start-ups to long-established market leaders covering the following verticals: Financial Crime, Investments, Payment Services and Credit & Insurance.We have a fantastic opportunity for the right individual to take advantage of developing a unique career with Thistle Initiatives. Currently experiencing rapid growth, Thistle are looking for an experienced individual to join the Investments Compliance Team, to be responsible for delivering a range of financial services solutions to its clients. The individual will need to demonstrate independence of thought, a willingness to challenge where appropriate, be able to work within the Investments team, be pro-active and establish effective client relationships.Key responsibilities Responsibilities are wide-ranging and varied, given the exciting projects we work on. We are keen to speak to people with a passion for problem solving, building products, mentoring and growing success teams, and delivering high quality outputs.Keeping up to date with regulatory requirements applicable to the Thistle Initiatives investment team client base and ensure timely implementation of changes including updates to policies and procedures Maintaining an up-to-date knowledge and understanding of FCA regulation, including, Suitability, Governance, Market Abuse, Conflicts of Interest, Personal Account Dealing, Inducements, Financial Promotions and Training and Competence and the other areas applicable to primarily MiFID and non-MIFID wealth management firms Self-starter attitude to completing client work and delivering high-quality client service levels, as well as mentoring junior team members to do the same.Supporting the Partner in the delivery of client projects, including oversight, task delegation and quality assurance. Responsible for the oversight of team members and for the smooth running of client projects in the absence of the Partner. Undertaking client audits, including reporting and making recommendations to address any areas of concern. Support the Partner to build, manage and motivate a team of highly skilled investments compliance professionals to ensure delivery of compliance solutions to the Group’s clientsMultitasking and managing multiple client projects at any given time. Ability to work under pressure, with tight turn arounds and with consideration for regulatory or client deadlines. Understanding the principles of utilisation, working on client projects as efficiently as possible within the scope provided. Being accountable for own time management and that of the junior staff on a project. Strong client relationship and key account management, becoming their trusted advisor.Behavioural Competencies Excellent communication skills to communicate openly and effectively, both internally and externally, to deliver the requirements of our client firms, with the ability to adapt to different audiences.Exceptional attention to detailCommercial awareness to be mindful of the commercial objectives of the firm when delivering compliance assistance.Commitment and enthusiasm with the desire to see the firm succeed.Ability to embrace change and be adaptable to the changing requirements of the regulations and be keen to develop new skills accordingly.Personal credibility with ability to establish and maintain trusting relationships with others.Team working skills that foster effective and productive working relationships to be considerate to the needs and opinions of others.Proactive attitude to actively seek new tasks and have a growth mindset.Self-driven with the ability to act as a team player.Determined attitude with the resilience and tenacity to manage projects from start to finish. Must be able to work autonomously and take initiative, identifying when referral needs to be made.Excellent written communication skills with the ability to draft written communications and documentation in an articulate way and to a high standard.Technical CompetenciesMust have a detailed understanding of the financial services investments/wealth management sector, and be able to apply knowledge of applicable regulation to the business requirements of our clients.A working knowledge of; MiFID II, SM&CR, COBS, SYSC, Market Abuse, MLR’s, and other wealth management related areas of the FCA handbook and guidance.Experience/QualificationsRelevant Financial services background and experience essential Certificate/s in financial investments such as the CISI IOC or equivalent qualification beneficial Diploma/s in financial investments such as the CISI IAD, PCIAM or equivalent or working towards qualification beneficial Diploma in Investment Compliance, equivalent or working towards qualification Educational attainment at degree level useful but not essential We offerCompetitive salary and the ability to grow your career within Thistle Initiatives25 – 30 days holiday entitlement depending on length of serviceCompany pension schemePrivate Medical InsuranceGym membership contributionFantastic City of London location and working environmentWorking with dynamic teams with regular social eventsIf you are looking to springboard your career to the next level and would like to be part of a supportive and dynamic culture, then please apply.
Investments Compliance Manager employer: LinkedIn
Contact Detail:
LinkedIn Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Investments Compliance Manager
✨Tip Number 1
Familiarise yourself with the latest FCA regulations and compliance requirements relevant to the investments sector. This knowledge will not only help you in interviews but also demonstrate your commitment to staying updated in a rapidly changing environment.
✨Tip Number 2
Network with professionals in the financial services and compliance sectors. Attend industry events or webinars to connect with potential colleagues and learn more about the company culture at Thistle Initiatives, which can give you an edge during the application process.
✨Tip Number 3
Prepare to discuss specific examples of how you've successfully managed client relationships or projects in the past. Highlighting your problem-solving skills and ability to work under pressure will resonate well with the team at Thistle Initiatives.
✨Tip Number 4
Showcase your proactive attitude by thinking of ways you could contribute to the team’s success. Whether it’s suggesting improvements to processes or sharing insights on regulatory changes, demonstrating initiative can set you apart from other candidates.
We think you need these skills to ace Investments Compliance Manager
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights relevant experience in financial services and compliance. Emphasise your understanding of FCA regulations and any specific qualifications you hold, such as CISI certifications.
Craft a Strong Cover Letter: In your cover letter, express your passion for compliance and problem-solving. Mention specific projects or experiences that demonstrate your ability to manage client relationships and deliver high-quality outputs.
Showcase Communication Skills: Given the importance of communication in this role, provide examples in your application that showcase your written and verbal communication skills. Highlight instances where you've effectively communicated complex regulatory information.
Demonstrate Proactivity: Illustrate your self-starter attitude by including examples of how you've taken initiative in previous roles. Discuss how you've managed multiple projects under pressure and contributed to team success.
How to prepare for a job interview at LinkedIn
✨Know Your Regulations
Make sure you have a solid understanding of FCA regulations, especially those relevant to investments and wealth management. Be prepared to discuss how these regulations impact client projects and your approach to compliance.
✨Demonstrate Problem-Solving Skills
Be ready to showcase your problem-solving abilities. Think of examples from your past experience where you successfully navigated complex compliance issues or improved processes for clients.
✨Showcase Team Leadership
Highlight your experience in mentoring and leading teams. Discuss how you've motivated junior staff and ensured high-quality outputs in previous roles, as this is crucial for the Investments Compliance Manager position.
✨Build Rapport with Interviewers
Establish a connection with your interviewers by being personable and engaging. Show enthusiasm for the role and the company, and be prepared to discuss how you can contribute to their success.