The role will provide administrative support to the Compliance Officer and Compliance Partner.
We are recruiting on a brand new opportunity for a Compliance Assistant to join the Compliance team of an amazing international law firm who are based in the city.
Duties and Responsibilities will include
Develop and maintain an understanding of the Firm's AML/CTF compliance policies, controls and procedures.
Top UK law firm is hiring a Compliance Assistant to join their busy Risk & Compliance team in the City of London.
This entry-level role would suit someone looking progress their compliance career and actively expand their knowledge and gain experience in the compliance field.
An exciting opportunity has arisen for a dedicated Compliance officer to join a leading independent wealth and asset management firm.
This role is based in the heart of London, offering an 18-month fixed term contract.
The successful candidate will be part of a dynamic team that manages the assets of some of the world's largest institutions, financial intermediaries and their clients.
We are seeking a Compliance Officer for an established London Markets Syndicate.
The successful candidate will spearhead the execution of the Compliance function's plans, including tackling financial crime and sanctions, conducting compliance monitoring reviews, and providing strategic and operational support on regulatory matters and changes.
Lloyd Recruitment Services are delighted to be recruiting on behalf of a specialist finance provider that seek an experienced Compliance Officer to join their Compliance & Risk team.
The client is an award winning organisation with a modern, flexible approach.
They have set new standards in their industry sector and have achieved continual growth as a result of their success.
My client is a Global and Lloyd's Market Insurance business and they are recruiting for an experienced Compliance Officer to support the Senior Compliance Officer(s) responsible for Financial Crime, Advisory and Monitoring.
The individual will provide subject matter expertise and advice on financial crime; sanctions and licensing matters as well as support the monitoring function and provide guidance where needed.