Leading Investment Bank - New Wealth
Management area
Risk and Compliance Manager
Our Client is a leading provider of investment banking
and financial services. The Financial Services Group
is dedicated to the distribution of financial services
via financial advisers and directly to individuals.
The Group offers wealth-creation solutions including:
* managed funds including cash management
* full service stockbroking
* financial planning
* private banking
We have an opportunity for an experienced Compliance
professional to become part of the business team developing
a new business unit.
A key part of this role will be to coordinate the set
up and ongoing management of the risk and compliance
function for a new Wrap and Wealth management business.
You should have at least 5 years experience in either
a compliance or legal team, good working knowledge of
the FSA handbook, Compliance qualifications, pursuing
AFPC etc.
The company provides an excellent pay and bonus structure,
commensurate with working for a leading International
Investment Bank.

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