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Deputy Head of Compliance & MLRO

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Location Not Specified
Job type TRAFFIC
Publication date 10 February 2026
3 people applied for this job

General Description

THE COMPANY

Our client is a Wholesale Investment firm looking to recruit a Deputy Head of Compliance. The role involves the day-to-day management of the Compliance Department (which includes the Onboarding team). You will also act as the MLRO (SMF17).

THE RESPONSIBILITIES

MLRO:

  • Act as the firm’s nominated MLRO, including reviewing and submitting suspicious activity reports.
  • Manage the Onboarding team to improve the client lifecycle journey.
  • Conduct comprehensive reviews of existing onboarding workflows to identify bottlenecks, control gaps, and areas for automation and efficiency gains.
  • Undertake the Business-Wide Risk Assessment, identifying control gaps and proposing actions.
  • Directly supervise the Onboarding team members, managing their workloads, providing mentorship, and conducting performance reviews.
  • Advise on specific KYC requirements for new and existing client onboarding cases.

Compliance:

  • Support the GC in the day-to-day management of the firm’s compliance and financial crime frameworks, reporting and escalating issues to the GC.
  • Assist the team in maintaining and updating the firm’s compliance policies/procedures and risk assessments.
  • Oversee regulatory changes, regulatory remediation and regulatory enquiries.
  • Advise, support and challenge on regulatory matters.
  • Organising and delivering training on key regulatory matters.
  • Submit regulatory forms.
  • Compile reports and management information for the firm’s governing bodies.

EXPERIENCE REQUIRED

  • Office based role (4-5 days per week required in the City office)
  • Ability to supervise, mentor, and develop a small team.
  • Understanding of financial products and services offered by a wholesale broker firm (including equities, bonds, foreign exchange, securities financing).
  • Minimum 7 years previous regulatory experience, preferably in Financial Crime (second line function).
  • Practical experience managing a firm’s AML programme for complex clients.
  • Strong familiarity of MLR and JMSLG requirements.
  • Ability to supervise, mentor, and develop a small team.
  • Understanding of financial products and services offered by a wholesale broker firm (including equities, bonds, foreign exchange, securities financing).
  • Working knowledge of the FCA Handbook, MAR, MIFID II, SMCR.
  • Previous experience of drafting policies/procedures and undertaking firm-wide risk assessments.
  • Technically savvy.
  • Organised approach to record-keeping, policy documentation and meeting regulatory obligations.

For further information please contact Hannah Tabatabai

Verification

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