Step into a pivotal senior leadership role that shapes the regulatory integrity and future success of a leading banking group.
The Role
Take ownership of a high profile compliance function spanning the Isle of Man and the UK.
About You
Bring proven expertise strategic insight and regulatory confidence to lead a complex multijurisdictional compliance function.
The Reward
The Role
Take ownership of a high profile compliance function spanning the Isle of Man and the UK.
- Lead compliance with all Isle of Man regulation and applicable codes of practice across all operating markets
- Identify compliance vulnerabilities and risks and design and implement corrective action plans
- Implement effective issues and actions tracking with clear escalation and reporting
- Develop maintain and analyse key risk data to support reporting on internal regulatory controls
- Provide regular reports to senior management committees on regulatory controls engagement and horizon scanning
- Plan and deliver compliance training across general compliance AML CFT and financial crime requirements
- Coordinate Isle of Man compliance monitoring and support wider monitoring programmes
- Maintain and review compliance policies manuals procedures and regulatory registers
- Manage regulatory returns notifications and ad hoc consent or registration requirements
- Review new legislation and regulation and lead implementation of regulatory change
- Coordinate management of compliance queries and referrals
- Support regulatory visits enquiries and follow up activity
- Promote a positive risk and compliance culture across the business
- Manage and train Compliance Teams across the Group
- Support subsidiary Compliance leads MLROs and UK SMF role holders
- Provide compliance thought leadership to corporate projects
- Ensure oversight and delivery of SMF and FSA regulatory obligations
- Participate as a member of senior committees including EXCO RMCO ALCO CONCO CCO OPCO and SFCCO
About You
Bring proven expertise strategic insight and regulatory confidence to lead a complex multijurisdictional compliance function.
- Relevant professional qualification or extensive banking industry experience in compliance risk internal audit or legal roles
- Strong working knowledge of international financial risk and regulatory standards
- Experience in compliance reporting across multiple business lines and geographies
- Systematic approach and exceptional attention to detail
- Strong procedural and report writing skills
- Ability to work effectively under pressure and meet tight deadlines
- Strategic and analytical mindset
- Excellent communication and stakeholder engagement skills
The Reward
- Senior leadership position with strategic influence
- Opportunity to shape regulatory culture and standards across the organisation
- Key role within multiple senior committees
- Direct access to senior decision makers and governing bodies
- Broad exposure across Isle of Man and UK regulatory environments