Our client is a West End based Private Equity firm, looking to hire a Compliance Associate on a 6-9 month temp-to-perm basis.
THE RESPONSIBILITIES:
Serve as the main point of contact for all KYC/CDD requests and conduct the KYC/CDD checks as and when required. Streamline the KYC/CDD requirements to enhance efficiency.
Liaise with administrators and other third parties on all admin/KYC/compliance for all business entities.
Support the portfolio companies with their various applications and relevant filings (such as CAB/ASR).
Take the lead on all matters related to the B-corp certification working together with the Director of ESG & Impact
Drive the broader corporate governance agenda within our portfolio companies, assessing relevant policies and assisting with ideas on implementation of best practices where needed.
Focus on wider compliance related admin tasks, including analysing regulatory requirements and their implications on all business operations and strategies (e.g. the analysis of the HSRF domiciliation and regulatory requirements) and LPA and side-letter compliance for all strategies
Work alongside the Compliance Officer in managing the required regulatory filings. Collaborate more closely with our AML consultant to update our AML processes and policies.
EXPERIENCE REQUIRED:
High risk exposure is essential
Law degree
Ability to work flexibly in a team environment with strong organisational skills
Deliver high standards of quality and ability to multi-task
Develop and maintain knowledge of policy and processes to ensure consistent competency
Manage caseload throughout the end-to-end process in a timely manner
Be effective in finding data from a number of sources/systems and some experience in using external data sources
For further information please contact Spencer Evans
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