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Compliance Manager - Investment Management

Job in Leeds, West Yorkshire, ME17, England, UK
Listing for: Jobs via eFinancialCareers
Full Time position
Listed on 2026-03-04
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Wealth Management
  • Management
    Risk Manager/Analyst, Wealth Management
Salary/Wage Range or Industry Benchmark: 80000 - 100000 GBP Yearly GBP 80000.00 100000.00 YEAR
Job Description & How to Apply Below

An established and growing wealth management business is seeking an experienced Compliance Manager to lead its second-line monitoring function.

This senior role suits a technically strong compliance professional with proven leadership skills and a commitment to delivering good client outcomes.

Reporting to senior leadership, you will manage and develop a team overseeing investment advice and discretionary portfolio management activities. You will help shape monitoring strategy, strengthen regulatory controls, and embed a strong compliance culture.

The Role

You will oversee a risk-based compliance monitoring programme across investment management, including file reviews, thematic assessments, and regulatory oversight to ensure alignment with FCA requirements and internal standards.

Leadership & Oversight
  • Lead, mentor, and develop a team of compliance professionals.
  • Allocate workloads and ensure high-quality, timely reviews.
  • Maintain consistency of file review standards.
  • Enhance monitoring frameworks and methodologies.
Monitoring & Reviews
  • Oversee second-line reviews assessing suitability and appropriateness of advice and portfolio decisions.
  • Review fact-finds, risk profiling, vulnerability considerations, and suitability assessments.
  • Challenge portfolio construction and investment rationale where required.
  • Identify systemic risks and control weaknesses, ensuring remediation.
  • Lead thematic and risk-based reviews across advisory and discretionary activities.
Regulatory Oversight
  • Ensure alignment with relevant FCA frameworks (COBS, SYSC, PRIN) and Consumer Duty.
  • Interpret regulatory requirements and provide practical guidance.
Reporting & Stakeholder Engagement
  • Deliver clear reports outlining findings, trends, and recommendations.
  • Present management information to senior leadership.
  • Engage with Portfolio and Investment Managers to promote a collaborative, solutions-focused compliance culture.

You are a credible compliance leader with experience in wealth or investment management.

Qualifications & Experience
  • Level 4 Investment Advice Diploma (CISI/CII or equivalent).
  • Strong background in compliance monitoring, audit, or QA within wealth or investment management.
  • Experience reviewing investment advice and/or discretionary portfolios.
  • Previous team leadership or mentoring experience.
Skills & Attributes
  • Strong knowledge of FCA suitability and conduct requirements.
  • Analytical, detail-oriented, and sound judgement.
  • Confident communicator able to challenge senior professionals constructively.
  • Organised, strategic, and committed to high professional standards.
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