Job Title: Compliance Manager – Global Funds Services
Sector: Funds
Location: London City / Hybrid
Salary: DOE
Our Client
Our client is a global leader in fund services, with a strong international presence and a growing footprint in the UK market. Specialising in hedge funds, private equity, and venture capital structures, the firm is renowned for its deep technical expertise and service excellence.
Why should you apply?
This is a fantastic opportunity to join a fast-growing fund services provider at an exciting time of expansion in the London office. The Compliance Manager role is a newly created position and represents a chance to build, influence, and lead within a high-performing team. With a collaborative and inclusive company culture, this position offers long-term career growth, high-quality exposure across fund types, and the chance to make a real impact in a values-driven environment.
Who should apply?
This role will suit an experienced compliance professional with strong knowledge of fund structures and global regulatory environments:
- 5+ years’ compliance experience in fund administration, investment management, or financial services
- Expertise in AML/KYC, FATCA/CRS, and relevant regulatory frameworks (e.g. SEC, CIMA, AIFMD)
- Strong knowledge of hedge funds, private equity, and fund onboarding processes
- Organised and detail-oriented with strong stakeholder and regulatory interaction skills
Role and Reporting Lines
This role is part of the Compliance and Risk function and reports into the Head of Compliance. Key responsibilities include:
- Regulatory Compliance – Ensure firm and clients comply with AML/KYC regulations
- AML/KYC Oversight – Manage onboarding procedures and perform risk assessments for investors and fund managers
- Policy Development – Maintain, develop, and enforce internal compliance policies and conduct regular effectiveness reviews
- Regulatory Reporting – Prepare and file FATCA/CRS reports, suspicious activity filings, and maintain audit-ready documentation
- Staff Training – Deliver sessions on compliance requirements, updates, and internal standards
- Client Advisory – Serve as a point of contact for compliance matters and assist clients with regulatory obligations
- Regulator Liaison – Interact with relevant authorities and manage any audits or inspections
- Operational Risk – Contribute to firm-wide risk management initiatives and ethical governance
Interested in this position?
To apply, please submit your CV to Colm O’Reilly who is managing this assignment via the link below or to inquire further please contact Colm on +44 7476 547746.
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