Key Responsibilities:
- Manage and nurture client relationships, ensuring high-quality service delivery across multiple departments
- Lead client assignments while deepening knowledge of regulatory and compliance requirements
- Collaborate with senior leadership to support departmental goals and performance targets
- Mentor and develop junior team members, fostering growth and capability within the team
- Contribute to business development by preparing proposals, writing thought leadership content, and attending industry events
- Represent the firm in marketing initiatives and practice development activities across the business
- Hold a relevant industry qualification (e.g. Compliance Institute, ACA, ACCA)
- Minimum of 5 years’ experience in risk and compliance consulting within the Financial Services sector
- Solid understanding of key regulatory frameworks such as PSD, Consumer Protection Code, Investor Protection, and Fitness & Probity
- Awareness of current challenges and developments within the banking industry
- Proven experience in managing client relationships and supervising projects or assignments
- Proficient in MS Office and other relevant digital tools