Head of Compliance / MLRO (SMF16/17) - #2084362

cer Financial Ltd


Date: 18 hours ago
City: London
Contract type: Full time
Work schedule: Full day
cer Financial Ltd

Head of Compliance / MLRO (SMF16/17)

City of London

(5 days in the office)

Permanent

£90,000 + bonus + pension


cer Financial are working alongside an international bank, who are based in the City of London. They are seeking a Head of Compliance / MLRO (SMF16/17) to work with them on a permanent basis.


THE ROLE:


  • Lead the Bank’s Compliance, Internal Controls, AML/MLRO, and Governance functions.
  • Ensure all activities comply with FCA/PRA regulations, UK law, banking standards, and internal policies.


Key Regulatory Responsibilities

  • Hold FCA Senior Management Functions:
  • SMF16 – Compliance Oversight
  • SMF17 – Money Laundering Reporting Officer (MLRO)
  • Ensure compliance with SMR, SYSC, Conduct Rules, AML/CTF, and Anti-Bribery requirements.


Compliance

  • Monitor regulatory compliance across the Bank.
  • Develop and maintain compliance policies and monitoring programmes.
  • Liaise with FCA, PRA, and other regulators.
  • Investigate fraud, misconduct, and compliance breaches.
  • Deliver compliance reporting and staff training.


Internal Controls

  • Monitor operational controls and review transactions.
  • Coordinate with Internal Audit and oversee audit follow-up actions.
  • Report control issues and whistleblowing matters to senior management and the Board.


MLRO / Financial Crime

  • Oversee AML and financial crime frameworks.
  • Review suspicious activity and submit reports to authorities where required.
  • Maintain AML policies, controls, and staff training.
  • Act as the Bank’s primary contact for AML-related regulatory matters.


Policy & Governance

  • Monitor regulatory developments and governance requirements.
  • Ensure policies and procedures remain current and effective.
  • Support Board governance, committee oversight, and regulatory training.


Additional Responsibilities

  • Secretary to the Audit & Risk Management Committee.
  • Primary contact for FCA/PRA and liaison with Internal Audit.
  • Voting member of Management, Credit, and ALCO Committees.
  • Regularly report to the CEO, Board, and Audit & Risk Management Committee.


Overall Objective

  • Provide independent oversight of compliance, governance, internal controls, and financial crime risk to protect the Bank and support regulatory compliance.


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