Compliance Lead

Compliance Lead

Full-Time 80000 - 100000 £ / year (est.) No working from home possible
Partners Group

At a Glance

  • Tasks: Lead compliance efforts and ensure regulatory adherence for a dynamic investment management firm.
  • Company: Join a global leader in private markets investment management with a start-up culture.
  • Benefits: Competitive salary, contract completion bonus, and opportunities for professional growth.
  • Other info: Dynamic workplace with mentorship opportunities and a focus on career development.
  • Why this job: Make a real impact in compliance while working in a collaborative and rewarding environment.
  • Qualifications: 10+ years in compliance, expertise in MiFID and AIFMD, and strong team collaboration skills.

The predicted salary is between 80000 - 100000 £ per year.

We are one of the largest global private markets investment managers, serving over 800 institutional investors worldwide. We have USD 185 billion in assets under management and around 2,000 professionals across 24 offices worldwide. Partners Group is an equal opportunity employer committed to cultural diversity.

In your role you will be responsible for working closely with Partners Group's Head of Compliance UK in ensuring that Partners Group's two FCA-licensed firms comply with their legal and regulatory obligations under the UK financial services regime. You will work as part of a team of two responsible for the UK and as part of a global team. The UK compliance function is responsible for all aspects of regulatory compliance on behalf of an alternative investment fund manager ("AIFM") and a MiFID investment firm. Your main responsibility will be for the MiFID investment firm. This is a broad role in which you are expected to take ownership for your work. It consists of a mixture between providing regulatory advice, performing hands‑on compliance tasks, dealing with policy matters and working on new regulatory implementation projects.

Partners Group is a growing, dynamic fund management group, which translates into a challenging working environment with numerous opportunities to expand your domestic and international regulatory knowledge and experience.

Responsibilities
  • Lead and support the design, implementation, and ongoing enhancement of the compliance framework for the London office.
  • Act as a subject‑matter expert on MiFID entity and provide support for an AIFM entity, including interpretation of requirements and practical application to business processes.
  • Lead on Client Money and Assets (CASS) processes.
  • Identify, understand and interpret UK financial services legislation and regulation (with a particular focus on public markets regulatory topics).
  • Provide day‑to‑day compliance advice to business teams on regulatory matters affecting investment, distribution activities and financial promotions.
  • Advise stakeholders on regulatory change and help coordinate implementation of new or amended regulatory requirements.
  • Draft management information reports and assist with the firm’s corporate governance – e.g. advising boards of directors.
  • Provide guidance on public markets investment activities, including best execution, allocation and market‑abuse monitoring.
  • Support regulatory reporting, filings, and interactions with relevant regulators and external stakeholders where required.
  • Oversee compliance monitoring reviews and thematic assessments, ensuring issues are identified, escalated and remediated appropriately.
  • Support the development, maintenance, and periodic review of compliance policies, procedures, and controls.
  • Lead on compliance risk assessments and contribute to the annual compliance risk assessment.
  • Provide guidance and training to employees on compliance policies, regulatory obligations, and conduct expectations.
  • Maintain appropriate records and documentation to evidence compliance oversight and decision‑making.
  • Support investigations, breaches, incidents, and control issues, including root cause analysis and remediation tracking.
What we expect
  • Strong experience (min 10 years) in a compliance role within asset management, private markets, investment management, or a similar regulated financial services environment.
  • Demonstrable expertise in MiFID and AIFMD, including their impact on investment firms, marketing, distribution, governance, and investor protection requirements.
  • Experience in collaterised loan obligation products is an advantage.
  • Familiarity with compliance monitoring, regulatory change management and incident escalation processes.
  • Understanding of governance, conflicts of interest, personal account dealing, market‑abuse and insider information controls.
  • Ability to interpret regulation and translate technical requirements into clear, actionable guidance for business teams.
  • Team‑player and collaborative approach with other business teams is a must.
  • Self‑motivated, proactive, intellectually curious individual with strong desire to learn and succeed.
  • A small amount of travel may be necessary but is not a core part of the role.
What we offer

Partners Group is a global financial institution that retains the culture, pace, and agility of a start‑up. As a growing firm, we are committed to attracting, developing, and retaining the very best talent by offering a workplace where results are truly recognized and rewarded. We offer a fantastic opportunity for you to grow and develop your career:

  • Professional, international working environment
  • Challenging, rewarding career within a growing company
  • Collaborative atmosphere, with on‑the‑job training and mentorship opportunities
  • Competitive compensation package, including contract completion bonus

Compliance Lead employer: Partners Group

At Partners Group, we pride ourselves on being a dynamic and growing global financial institution that combines the agility of a start-up with the stability of a large firm. Our London office offers a collaborative work culture where your contributions are valued, and you will have ample opportunities for professional growth and development in the compliance field. With a competitive compensation package and a commitment to diversity, we are dedicated to fostering an environment where every employee can thrive and succeed.

Partners Group

Contact Details:

Partners Group Recruitment Team

StudySmarter Expert Advice🤫

We think this is how you could land Compliance Lead

Tip Number 1

Network like a pro! Reach out to professionals in the compliance field, especially those at Partners Group. Use LinkedIn to connect and engage with them; you never know who might refer you for that Compliance Lead role!

Tip Number 2

Prepare for interviews by brushing up on your MiFID and AIFMD knowledge. Be ready to discuss how you've tackled compliance challenges in the past. Show us your expertise and how it aligns with what Partners Group is looking for!

Tip Number 3

Don’t just wait for job openings to pop up! Keep an eye on our website and apply directly through there. It shows initiative and gives you a better chance of being noticed by the hiring team.

Tip Number 4

Follow up after interviews! A quick thank-you email can go a long way. It keeps you fresh in their minds and shows your enthusiasm for the Compliance Lead position at Partners Group.

We think you need these skills to ace Compliance Lead

Compliance Framework Design
MiFID Expertise
AIFMD Knowledge
Client Money and Assets (CASS) Processes
UK Financial Services Legislation Interpretation
Regulatory Advice
Regulatory Change Management

Some tips for your application 🫡

Tailor Your CV:Make sure your CV is tailored to the Compliance Lead role. Highlight your experience in compliance, especially with MiFID and AIFMD, and showcase how your skills align with what we’re looking for.

Craft a Compelling Cover Letter:Your cover letter should tell us why you’re the perfect fit for this role. Share specific examples of your past experiences that relate to the responsibilities listed in the job description.

Showcase Your Regulatory Knowledge:We want to see your understanding of UK financial services legislation. Use your application to demonstrate your expertise in compliance monitoring and regulatory change management.

Apply Through Our Website:Don’t forget to apply through our website! It’s the best way for us to receive your application and ensures you’re considered for the role. We can’t wait to hear from you!

How to prepare for a job interview at Partners Group

Know Your Regulations

Make sure you brush up on the latest UK financial services regulations, especially MiFID and AIFMD. Being able to discuss how these regulations impact investment firms will show that you're not just familiar with the rules but can also apply them practically.

Showcase Your Experience

With a minimum of 10 years in compliance, be ready to share specific examples from your past roles. Highlight situations where you led compliance projects or provided regulatory advice, as this will demonstrate your hands-on experience and leadership skills.

Prepare for Scenario Questions

Expect questions that ask how you would handle specific compliance challenges. Think about potential issues related to client money and assets (CASS) processes or regulatory changes, and prepare structured responses that showcase your problem-solving abilities.

Emphasise Team Collaboration

Since this role requires a collaborative approach, be prepared to discuss how you've worked effectively with other teams in the past. Share examples of how you’ve communicated complex regulatory requirements to non-compliance staff, which will highlight your ability to work well in a team environment.