Compliance Officer, Investment Boutique - Hays
Why This Role Stands Out
This hands-on Compliance Officer role offers significant career growth potential within a reputable global investment boutique, allowing you to develop expertise in both UK and US regulations. You'll thrive here if you have a strong buyside compliance background and enjoy proactively advising a dynamic business, with the added benefit of hybrid flexibility. Embrace this exciting opportunity to expand your global impact and advance your career.
Quick Overview
Job Description
Global emerging markets investment management boutique seeks a mid-level Compliance Officer to oversee its activities across the UK and US. Reporting to the overseas-based Chief Legal & Compliance Officer and working alongside the CIO, this is a hands-on generalist opportunity, partnering the business with proactive regulatory advice and responding to queries. The successful applicant will be expected to keep abreast of developing regulations impacting the firm and advising portfolio management accordingly. Duties span the entire breadth from compliance policy and procedures, investment guidelines, third party due diligence and AML. Candidates are sought with a minimum of six years' buyside compliance, including working knowledge of SEC rules and filings as a necessity, additionally to FCA. This is an excellent opportunity with a clear pathway for progression to a global role over the long term.
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Skills
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