Head of Compliance / MLRO / DPO

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Job Description

Monitoring of compliance with the Rulebook and any other applicable requirements.

•Writing quarterly monitoring reports for the board and provision of other compliance reporting information.

•Writing quarterly MLRO board reports.

•Writing and maintaining Manuals and Procedures as they relate to Compliance, AML and Data Protection.

•Writing and preparation of the AML/CFT Risk Assessment.

•Implementation of procedural changes as a result of regulatory change, whether this be updating the procedures involved or training.

•Dealing with problem cases, which may include AML issues, complaints and conflicts.

•Laising with Directors on MLRO matters.

•Maintaining registers to ensure compliance with FSA regulations.

•Investigation of internal STRs and writing external STRs as required, as MLRO.

•Completing annual reporting to the FSA as required.

•Participating in Management meetings and Regulatory Admin meetings as required.•Risk reviews and client onboarding including the approval of due diligence and client checks.

•Advising client facing staff on regulatory issues.

•Arranging AML training and testing across the Group.

•Providing AML updates across the Group.

•Arranging training for all staff.

•Ensuring that Viewpoint (CRM) is updated and maintained from a compliance perspective.

•Data cleansing and minimisation.

•Handling Subject Access Requests including liaising with staff as appropriate and production of material.

Salary: NA

Job Summary

Isle of Man
Ref ID: 3955