EXCLUSIVE: HEAD OF COMPLIANCE & MLRO – SENIOR CORPORATE BANKING COMPLIANCE EXPERIENCE REQUIRED

REF: 4188G

£120K-£150K + BONUS & BENEFITS           LONDON

 

 

We have been exclusively appointed by our Client, a Global Corporate and Retail Bank, to find a Head of Compliance & MLRO to hold the UK SMF16 and SMF17 for their UK banking business.  Reporting to the CEO & Board and managing a team, duties will include:

 

  • Responsibility for the operation of the Bank's Compliance Function in accordance with UK regulatory requirements.
  • Overall responsibility for the Bank's policies and procedures for mitigating regulatory risk.
  • Act as the Data Protection O?icer (DPO) for the Bank and point of contact for data subjects and authority for the Information Commissioner's Office (ICO) in the United Kingdom.
  • Identifying regulatory changes and assessing whether these are relevant to the Bank and disseminating to senior management as necessary
  • Serving as a first point of contact for all staff in the Bank for compliance advice, guidance and insight into regulatory issues.
  • Preparing and periodically revising the Bank's Compliance Manual and contribute to the Recovery Plan in relation to compliance matters
  • Overseeing Bank's compliance monitoring activity
  • Working closely with those in the First Line of Defence to address any weaknesses in controls to mitigate compliance risks
  • Attending the Bank's Risk & Compliance Committee (RCC) and Executive Committee (EMC); and providing sufficient management information to facilitate oversight and challenge over compliance activity and compliance risk
  • Acting as the Banks MLRO and development of AML guidance materials and training resources for staff on AML matters
  • Performing regular monitoring activity to ensure regulations are adhered to, especially high-risk accounts and politically exposed persons (PEPs)
  • Liaising with the relevant authorities and notify them of breaches or suspicious activity as required
  • Compiling reports for the Board and Risk & Compliance Committee (RCC) to facilitate oversight and the submission of an annual MLRO report to the RCC

 

The successful candidate will be of graduate calibre and must have gained a minimum of twelve years financial services compliance experience, with a good knowledge of the relevant UK Compliance and AML rules and regulations applicable to a UK Banking business. Previous registration as SMF16 and/or 17 advantageous but more important will be your ability and confidence to operate effectively at board level as well as various committees expected to attend as well as represent the bank with external parties including the FCA & PRA.

 

This is a fantastic opportunity for a confident and polished individual with strong interpersonal skills to join a successful global banking brand in a very visible and influential role.

 

If you feel you have the above average interpersonal skills and technical knowledge to help the business please call Gary Collins on 020 7562 7400 for a confidential discussion about this position or send your details to gary@symescollins.com (including a contact number & email) however please note we cannot reply to all applications so only successful applications will be contacted (although under no circumstance are your details ever passed on without your specific permission).