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Compliance & Training Supervisor - FinTech

Employer
Fusion Personnel
Location
Surrey, UK
Salary
Competitive
Closing date
May 28, 2019

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Job Role
Compliance Accountant
Sector
Finance
Contract Type
Permanent
Hours
Full Time
Our industry leading client is looking for a COMPLIANCE & TRAINING SUPERVISOR to join the team This postion would be REMOTELY BASED and would have a need for you to be in their Horsham based office once a week (Mondays). See below for the full job description General

Responsibilities:
Keep up-to-date with regulatory and industry developments Maintain a specified span of control up to 40 Registered Individuals, managing and scheduling all aspects of oversight competently and within desired timescales Monitor AR firms, coaching and mentoring approved persons both remotely and on-site, to ensure compliance with both regulatory rules and Network procedures Liaise effectively with senior management in respect of regulatory and Network issues Assist the Compliance Director in providing a timely response to requests for information from the FCA Assist in making all appropriate notifications to the FCA Compliance Monitoring

Responsibilities:
Apply a risk-based and common-sense approach to the compliance monitoring process Undertake appropriate file reviews, ensuring that the findings are accurately recorded and handled appropriately so as to mitigate associated risks Undertake regular KPI reviews, ensuring that KPI data and management information in respect of AR firms is accurately recorded whilst identifying adverse trends/risks and reporting or handling them accordingly Test approved persons according to scheme requirements in respect of product knowledge and appropriate selling practices, and provide relevant feedback and training where necessary Test and supervise new joiners to AR firms ensuring that supervision and formal sign-off procedures are applied as appropriate Ensure that financial promotions for member firms are approved in accordance with the FCA rules, whilst aiding firms in interpreting and applying the regulatory guidelines on advertising Ad-hoc

Responsibilities:
Take on tasks and projects as delegated by the Compliance Director/Compliance Manager, applying a can-do attitude and timely approach to work outside that of an individual span of control Complete tasks to a high standard, and apply initiative to accommodate for wider issues Skills and Knowledge: Excellent knowledge of retail investment, savings, pension and protection products in the IFA sector Strong knowledge of FCA rules and their interpretation/application Ability to communicate with others confidently whilst remaining flexible/adaptable Highly developed analytical, observational, written and verbal communication skills Desirable Qualifications and Experience: Level 4 Diploma in Financial Planning Specialist qualifications: Equity Release/lifetime mortgages - ER1 & HR1 or equivalent Occupational pensions - J04, J05 & AF3 or equivalent Long Term Care - CF8 or equivalent Mortgages - CeMAP/MAQ/CF6 Single share based investments - L4 diploma IMC or securities gap fill Significant experience within the financial services, preferably in an investment or insurance environment with a good understanding of FCA/PRA regulatory expectations Experience working within a network of Financial Advisers To find out more about who this opportunity is with, and more about the role, APPLY NOW

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