Compliance Manager - #2090687
Ortus PSR
Birmingham | Hybrid (3 Days Office / 2 Days Home)
£65,000 - £70,000 + Benefits
Are you an experienced compliance professional with strong SMCR, Training & Competence and Wealth Management experience?
We are recruiting on behalf of a growing financial planning firm seeking a Head of Compliance & Lead T&C Supervisor to take ownership of the firm's compliance framework and Training & Competence programme.
This is a senior leadership position working directly with the executive team and supporting the firm's SMF16 and SMF17 functions, ensuring the business continues to meet its regulatory obligations whilst maintaining the highest standards of client outcomes, governance and adviser competence.
The Role
This position combines responsibility for the firm's compliance oversight framework with leadership of its Training & Competence scheme.
You will act as the central compliance figure within the business, providing regulatory guidance, overseeing compliance monitoring activity, managing regulatory risk and ensuring advisers remain competent, supervised and compliant under FCA requirements.
Key Responsibilities
Compliance Oversight
Lead and oversee the firm's compliance function
Support the firm's SMF16 (Compliance Oversight) and SMF17 (Money Laundering Reporting) responsibilities
Maintain and enhance the firm's compliance monitoring framework
Ensure ongoing compliance with FCA regulations, Consumer Duty and SMCR requirements
Manage regulatory reporting, governance and risk management processes
Oversee client file review activity and ensure regulatory standards are maintained
Review regulatory developments and implement required changes across the business
Produce compliance MI, board reports and annual compliance reporting
Support regulatory interactions and FCA communications
Manage relationships with external compliance providers and stakeholders
Assist with regulatory due diligence relating to acquisitions and strategic projects
Training & Competence
Lead and maintain the firm's Training & Competence Scheme
Work closely with SMF3 Supervisors to ensure adviser competence is appropriately monitored
Conduct adviser oversight, competency assessments and supervision activities
Oversee annual Fit & Proper assessments and certification processes
Monitor SPS, CPD and ongoing competency requirements
Deliver and coordinate regulatory training across the business
Ensure robust T&C records, monitoring and management information are maintained
Support the onboarding, supervision and development of new advisers
About You
To be considered you will ideally have:
Experience within a senior compliance position in a Wealth Management or Financial Planning business
Strong knowledge of FCA regulation, Consumer Duty and SMCR
Demonstrable Training & Competence experience
Experience conducting adviser supervision, competency assessments and file reviews
Knowledge of financial promotions, AML, governance and regulatory reporting
Level 4 Diploma qualification as a minimum
Supervisory qualification desirable
Strong communication skills with the ability to influence senior stakeholders
What's On Offer
£65,000 - £70,000 salary
Hybrid working (3 days office / 2 days home)
Senior leadership exposure
Opportunity to influence the firm's compliance culture and regulatory framework
Genuine ownership of Compliance and T&C activities
Growing and ambitious wealth management business
For a confidential discussion regarding this opportunity, please apply today.
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