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William Blake Group

Acting Director, Legal and Compliance

London
£165k – £180k/yr
Posted 1 day ago
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Acting Director, Legal & Compliance (12-15 Month FTC)

London | Hybrid Working

An established global investment management firm is seeking an experienced Acting Director, Legal & Compliance to join its London office on a long-term maternity cover contract.

This is a senior leadership opportunity for an individual with extensive experience across legal, compliance, regulatory affairs, and financial crime within an FCA-regulated investment management environment. The successful candidate will act as the primary legal and compliance lead for the UK business, partnering closely with senior stakeholders globally while ensuring adherence to UK and international regulatory requirements.

Key Responsibilities

  • Hold responsibility for the UK Compliance function, including SMF16 (Compliance Oversight) and SMF17 (MLRO) responsibilities.
  • Lead and maintain the firm's legal and compliance framework across a range of investment products and distribution channels.
  • Provide strategic advice on regulatory developments impacting operations across the UK, Europe, and the Middle East.
  • Act as the primary contact for regulators, external counsel, and key service providers.
  • Review, negotiate, and advise on a broad range of commercial, distribution, and investment management agreements.
  • Oversee AML/KYC, financial crime, governance, and compliance monitoring activities.
  • Support cross-border fund distribution and ensure compliance with applicable regulatory regimes.
  • Deliver regulatory training and guidance to business stakeholders.
  • Lead policy development and implementation in response to evolving regulatory requirements.
  • Manage and develop junior compliance team members while fostering a strong compliance culture.

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£35,000/yr

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Why you're a good match

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Requirements

  • 10+ years' experience within legal and/or compliance roles in asset management, investment management, private funds, financial services, or a related advisory environment.
  • Current or previous experience within an FCA-regulated firm.
  • Strong understanding of the UK regulatory landscape, including FCA requirements and financial crime obligations.
  • Deep knowledge of UCITS, AIFMD, MiFID, SFDR, EMIR, AML/KYC, and broader European regulatory frameworks.
  • Experience supporting fund distribution, institutional client relationships, and cross-border business activities.
  • Proven ability to provide commercially focused legal and regulatory advice to senior stakeholders.
  • Strong contract review and negotiation experience.
  • Excellent communication skills and experience presenting to leadership teams and governance committees.

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What's on Offer

  • High-profile leadership role within a globally recognised investment organisation.
  • Significant exposure to senior management and international stakeholders.
  • Broad remit spanning legal, compliance, financial crime, and regulatory affairs.
  • Collaborative and intellectually stimulating environment.
  • Competitive compensation package.
  • Flexible hybrid working arrangement.
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Skills

Compliance Oversight
MLRO
Regulatory Affairs
Financial Crime
AML/KYC
Contract Negotiation
FCA Regulation
UCITS
AIFMD
MiFID
SFDR
EMIR
Fund Distribution
Stakeholder Management
Legal Advice
Governance

Location

London, England, United Kingdom

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