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Compliance Officer

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A well-established FCA-regulated firm focussing on Pensions and Investments is seeking a Compliance Assistant to support its growing compliance function.

Working closely with the SMF16 Compliance Officer, you’ll play a key role in ensuring the business meets FCA requirements across advisory services and SIPP provision.

Key Responsibilities

  • Support compliance monitoring and reporting across advisory and SIPP activities
  • Assist with FCA filings, regulatory returns, and record keeping
  • Conduct regulatory research and track FCA updates
  • Support internal audits and identify compliance gaps
  • Help maintain and update policies (COBS, KYC, AML)
  • Assist with compliance training for staff
  • Monitor advisory processes and SIPP activities for regulatory adherence
  • Support preparation for FCA audits and inspections

About You

  • Experience in financial services compliance
  • Understanding of FCA regulations (MiFID II, COBS desirable)
  • Strong attention to detail and analytical skills
  • Confident communicator, able to work independently and in a team
  • Professional qualifications (ICA/CISI) and SIPP knowledge are advantageous

Why Join?

  • Direct exposure to senior compliance leadership
  • Broad, hands-on compliance experience
  • Excellent platform for career growth