Compliance Analyst - Compliance Monitoring - Capital Markets
Job Description
To support the Head of Compliance andamp; MLRO as part of the team to cover all aspects of the Compliance Monitoring Program, and other regulatory issues that impact the firm.
Client Details
International Capital Markets firm.
Description
- Work with the Senior Compliance office to support all onboarding and ongoing KYC/CDD requirements for new counterparties.
- Undertake activities of the Compliance Monitoring Programme - not limited to transaction monitoring, personal account dealing, gifts log,
- Conducting communications monitoring (voice and electronic), ensuring compliance with the Firm's policies and procedures, evaluating issues/concerns, and appropriately escalating to Compliance Management.
- Support of Companies House filings
- Support the Head of Compliance andamp; MLRO to ensure all FCA Reg data returns are filed accurately and in a timely manner.
- Support the Senior Compliance Officer with the preparation of management information.
- Preparation of SMF and Certified applications, andamp; records kept regarding those individuals.
Profile
- At least three years' experience in general compliance, including compliance monitoring, regulatory reporting, KYC, and SMCR.
- Experience within an international banking environment/broker, or similar.
Job Offer
- Competitive salary ranging from -45000 to -50000 GBP.
- 12-month Fixed Term Contract.
- Opportunities to work within a reputable organisation in the financial services industry.
- Potential for extension after initial term of contract.