Are you a compliance professional with a strong understanding of regulatory frameworks and a passion for ethical operations?
Join a dynamic team within the financial services industry where your expertise will ensure we continue to operate with integrity, transparency, and in full alignment with regulatory expectations.
Duties:
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Advising teams on compliance and regulatory matters
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Reviewing and updating policies, procedures, and controls
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Supporting compliance monitoring activities and audits
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Preparing reports for executive and board meetings
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Identifying and investigating financial crime risks, including fraud and money laundering
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Managing complaints in accordance with policy and regulation
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Supporting regulatory reporting and delivering internal training
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Maintaining compliance registers and conduct-related management information
Attributes required:
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Previous compliance experience in financial services (preferably mortgages or secured lending)
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Strong complaint handling and problem-solving abilities
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Knowledge of FCA regulations and the UK mortgage sector (first or second charge)
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Excellent communication and interpersonal skills across all business levels
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Strong planning, organisational skills, and attention to detail
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A collaborative mindset with the ability to work independently
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A proactive attitude with a willingness to grow and take on responsibility
TwentyFour Recruitment is an equal-opportunity employer. If your skill set and experience match the above ad then please apply today and if your CV is shortlisted a consultant will contact you to discuss the next stage of the recruitment process.