A boutique private equity brokerage firm based in Mayfair are looking to strengthen it's compliance division for an initial 6 months, by hiring two experienced risk & compliance professionals with a solid financial services background.
The ideal candidates will be responsible for all front office compliance processes, policy reviews, client onboarding, liaising with the FCA and mitigating risk, reporting into the Head of Finance & Compliance.
Very Competitive day rate:
Must have risk & compliance experience within a financial services institution, ideally investment banking dealing with fixed income / derivatives.
Must be immediately available.
If you are interested, please get in touch with Simon Riva at The Consultancy Group.