Wealth Management- Compliance Advisory

Wealth Management Compliance Advisory

A leading Private Bank is looking for an Associate Director to come and join their advisory team. The bank is one of the bets in the market with a global reach/. They work on the biggest deals giving compliance staff exposure to further enhance their career.

The team is solid and has some of the best professionals in the market; candidates will benefit from their expertise and learn about compliance and Wealth Management. The team is well respected within the bank and the market and is often used for further advice in the market.

The Role:
This is an advisory position focussing on working with the business to deliver effective regulatory advice to the business. Candidates will get exposure to all levels of the bank and further enhance your knowledge of Wealth Management.

What to expect:

Responsibilities include Identification of compliance risks and the provision of solutions and methods to detect, prevent, mitigate, and or respond to such risks.

Analysis and report on trends and regulatory developments to ensure Compliance services provided by the team remain current with changes to the business or relevant laws and regulations.

Together with the Head of Team, provide leadership to team members through the development of their knowledge and skills, providing coaching training and support and feedback as appropriate.

Requirements:
Candidates need to have worked at a Wealth Manage/private bank and must have compliance advisory experience. Strong qualifications, product and regulatory knowledge is important.

This is a great opportunity to get into one of the worlds leading banks in an elite team. They offer quick progression, top of the range salaries and a very good compliance culture.

If this role is of interest or you would like to have a further discussion about your career please get in touch on 02034650110

April 2, 2014 • Tags:  • Posted in: Financial

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