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Senior Markets Compliance Advisor

United Kingdom

Senior Markets Compliance Officer

Senior second-line Compliance Officer providing trusted regulatory advice, challenge and oversight across the Markets business. Acts as a key partner to front-office management and senior leadership, supporting the firm's strategic objectives while ensuring compliance with regulatory requirements, market standards and conduct risk expectations. Responsible for promoting a strong compliance culture and providing robust, commercially focused regulatory guidance across the business.

Key Responsibilities

  • Provide expert regulatory advice to the Markets business on FCA requirements, MiFID II/MiFIR, Market Abuse Regulation (MAR), Conduct of Business rules, client categorisation, best execution, order handling, inducements and conflicts of interest.
  • Advise on complex transactions, new business initiatives, products and strategic projects, assessing regulatory implications and identifying practical solutions.
  • Act as the primary Compliance contact for exchange and trading venue rules, market structure developments and related regulatory obligations.
  • Maintain and enhance compliance policies, procedures and frameworks to reflect regulatory developments and evolving business activities.
  • Lead compliance risk assessments and thematic reviews as relevant to the Markets business
  • Contributing to the development and execution of the Compliance Monitoring Programme.
  • Assess and implement regulatory change, ensuring the business remains compliant with evolving FCA, exchange and market requirements.
  • Manage and support regulatory interactions, enquiries and thematic reviews, including engagement with the FCA and relevant exchanges or market authorities.
  • Deliver training and awareness initiatives to promote a strong culture of compliance and accountability across the Markets business.
  • Produce management information, regulatory reporting and governance materials for senior management and committees.

Candidate Profile

Essential

  • Significant Compliance experience within an FCA-regulated equities, capital markets or investment banking environment.
  • Strong technical knowledge of FCA regulation, MiFID II/MiFIR, MAR, COBS and market conduct requirements.
  • Demonstrable experience advising Sales, Trading, Execution businesses on complex regulatory matters.
  • Proven track record of influencing and challenging senior front-office stakeholders while maintaining strong commercial relationships.
  • Experience supporting regulatory change initiatives and interpreting new regulatory requirements.
  • Strong understanding of governance frameworks, risk management and SMCR obligations.
  • Excellent written and verbal communication skills, with the ability to explain complex regulatory issues clearly and pragmatically.

Desirable

  • Experience of market abuse surveillance, trade surveillance and electronic communications monitoring.
  • Familiarity with exchange rules and trading venue requirements.
  • Experience managing FCA interactions, regulatory reviews or enforcement-related enquiries.
  • ICA Diploma, CISI Diploma, Law Degree or equivalent professional qualification.

Competencies

  • Exceptional regulatory and technical expertise.
  • Strong commercial judgement and pragmatic problem-solving skills.
  • Credibility and confidence when engaging with senior management and front-office stakeholders.
  • High level of integrity, independence and professional scepticism.
  • Sound risk-based decision making and defensible judgement.
  • Strong organisational and prioritisation skills, with the ability to manage competing demands.
  • Collaborative approach with the ability to influence outcomes without direct authority.
  • Ability to work autonomously in a fast-paced and evolving markets environment.

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