Start Date
Immediate
Expiry Date
02 Aug, 25
Salary
0.0
Posted On
03 May, 25
Experience
0 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Asset Management, Management Skills, Trading, Regulatory Compliance
Industry
Financial Services
Senior Compliance Advisor
Competitive
London
Permanent
Hybrid - 3 days required in the office
On behalf of Vanguard Asset Management, we are seeking a proactive, commercially minded Senior Compliance Advisor with a focus on fixed income expertise. This is an exciting opportunity to join a rapidly growing business in Europe and contribute to the delivery of superior outcomes for customers and clients. The successful candidate will be part of a team of expert compliance professionals supporting the European Investment Management Group (IMG). This role offers the chance to work in a hybrid model, with Tuesday to Thursday office-based work at their primary location in London.
What you’ll do:
As a Senior Compliance Advisor, you will play a pivotal role in providing guidance and advice on investment-related regulations that impact trading and portfolio management activities. You will be instrumental in advising on new business initiatives from a compliance perspective, as well as participating in compliance or business-driven projects. Your role will also involve interpreting regulations on Vanguard’s global and local policies relating to investment decisions. You will liaise with other IMG Compliance Advisory teams based globally, building strong relationships within Vanguard. Furthermore, you will be responsible for anticipating, assessing the impact of, and responding to regulatory developments.
What you bring:
The ideal candidate for the Senior Compliance Advisor role will bring at least seven years of relevant experience within an asset management compliance function. You should have strong knowledge of UCITS products and EU / UK MiFID investment regulations. Your ability to develop a broad understanding of Vanguard’s business and the investment industry will be crucial for this role. Detailed knowledge of trading fixed income instruments is essential. You should possess positive relationship management skills, including the ability to interact with individuals at various levels both internally and outside the company. A proven ability to function in a fast-paced environment while managing multiple responsibilities is required. Excellent judgment and decision-making skills are also key for this role.
What sets this company apart:
Vanguard Asset Management is dedicated to taking a stand for all investors, treating them fairly and giving them the best chance of investment success. Their continued dedication to diversity and inclusion is firmly rooted in their culture. Every decision they make to best serve their clients, crew, and communities is guided by one simple statement: “Do the right thing”. They believe that building diverse, inclusive, and highly effective teams of individuals who are as unique as the clients they serve is a critical aspect of doing the right thing.
What’s next:
Ready to take your career to new heights with Vanguard Asset Management? Apply now!
We are committed to offering an inclusive recruitment experience. If you require accommodations because of disability or health condition, please email: gscemeaedi @ robertwalters.com. This position is being sourced through our Outsourcing service line
On behalf of Vanguard Asset Management, we are seeking a proactive, commercially minded Senior Compliance Advisor with a focus on fixed income expertise. This is an exciting opportunity to join a rapidly growing business in Europe and contribute to the delivery of superior outcomes for customers and clients. The successful candidate will be part of a team of expert compliance professionals supporting the European Investment Management Group (IMG). This role offers the chance to work in a hybrid model, with Tuesday to Thursday office-based work at their primary location in London.
As a Senior Compliance Advisor, you will play a pivotal role in providing guidance and advice on investment-related regulations that impact trading and portfolio management activities. You will be instrumental in advising on new business initiatives from a compliance perspective, as well as participating in compliance or business-driven projects. Your role will also involve interpreting regulations on Vanguard’s global and local policies relating to investment decisions. You will liaise with other IMG Compliance Advisory teams based globally, building strong relationships within Vanguard. Furthermore, you will be responsible for anticipating, assessing the impact of, and responding to regulatory developments.
The ideal candidate for the Senior Compliance Advisor role will bring at least seven years of relevant experience within an asset management compliance function. You should have strong knowledge of UCITS products and EU / UK MiFID investment regulations. Your ability to develop a broad understanding of Vanguard’s business and the investment industry will be crucial for this role. Detailed knowledge of trading fixed income instruments is essential. You should possess positive relationship management skills, including the ability to interact with individuals at various levels both internally and outside the company. A proven ability to function in a fast-paced environment while managing multiple responsibilities is required. Excellent judgment and decision-making skills are also key for this role.