Assist in the drafting and updating of firm's P&P and deliver compliance training to the business to include the whole suit of conduct of business matters including financial promotion.
Support in facilitating the identification, assessment and mitigation of Compliance risks, and maintain the firm's risk register as required.
Development of a monitoring programme and associated reporting framework
Assist in implementing compliance process (attestations and clearances) operating a compliance platform which support the compliance programme.
Keep abreast of UK compliance requirements relevant to business operations so as to reflect regulatory implications on P&P and frameworks.
Develop the investment teams' knowledge of compliance requirements by preparing tailored training.
Assist in the preparation of MI reports on compliance and regulatory issues for senior management ahead of board and senior management meetings.
Assist with the preparation of FCA regulatory returns.
EXPERIENCE REQUIRED:
Proven capability in evaluating and developing the compliance framework for new operating structures in a private equity firm, alternative investment fund management firm, in asset management or investment banking;
Sound knowledge of MiFID and business conduct issues and requirements, the FCA handbook (SYSC, APER, COBS, CASS, MAR, INVPRU/BIPRU) and financial promotion rules and ability to articulate their implications in the context of Henley activities;
Experience in developing policies and procedures as well as preparing and delivering training