Senior Compliance Officer - Private Equity
eFinancialCareers · London
Job description
About the role
This senior compliance position sits within a leading private equity firm and offers a generalist remit covering both UK and US regulatory matters. You will help ensure the firm meets FCA and SEC requirements while supporting fundraising, marketing and investor relations activities.
Key responsibilities
- Support the firm in meeting FCA and SEC regulatory obligations.
- Monitor regulatory developments in the UK and US, assess impact and contribute to change projects.
- Assist fundraising and marketing efforts by handling compliance aspects of investor communications and registrations.
- Lead the design and implementation of the firm’s Compliance Monitoring Programme.
- Draft and review compliance policies, procedures and internal communications.
- Provide compliance guidance and training to staff across the firm.
- Conduct AML and KYC reviews for transactions and portfolio companies.
- Respond to regulatory inquiries and coordinate with external auditors, legal counsel and other service providers.
- Support the Investor Relations team with due‑diligence questionnaires and investor queries.
- Prepare and minute internal committee meetings.
Required profile
- University degree in law or a related field (preferred but not essential).
- 4+ years of compliance or legal experience, ideally within financial services or asset management.
- Familiarity with FCA and/or SEC regulations.
- Experience drafting policies and reviewing legal and regulatory documentation.
- Strong analytical skills and attention to detail.
- Ability to work independently and escalate issues appropriately.
- Excellent communication and interpersonal skills.
- Proactive and collaborative approach within a global compliance team.
Required skills
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Published 1 month ago
Expires 2 days from now
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eFinancialCareers
London
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