Compliance Analyst

Posted Yesterday
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Lower Place, London, England, GBR
Hybrid
Mid level
Fintech • HR Tech • Insurance • Consulting
The Role
Provide compliance advice, oversight, monitoring, policy support, and regulatory change assistance for Marsh’s MiFID-regulated Direct Investment Unit. Maintain compliance registers, support risk and incident management, oversee call recording processes, prepare for regulatory reviews and audits, and help embed UK regulatory requirements across business processes. Build stakeholder relationships while promoting governance, accountability, and ethical conduct.
Summary Generated by Built In
Company:Marsh

Description:

We are seeking a talented and driven Compliance Analyst to join our Compliance Advisory team, supporting Marsh’s Direct Investment Unit. This is an excellent opportunity for an experienced compliance professional to broaden their expertise within a dynamic and highly regulated investment environment.


Working closely with the Direct Investment Unit, a MiFID-regulated business, you will play an important role in delivering compliance oversight, regulatory guidance, monitoring activities, and policy support. You will act as a trusted partner to the business, helping to strengthen the compliance framework while supporting the implementation of regulatory change and promoting a strong culture of governance and accountability.


This position offers a unique opportunity to work across a broad range of compliance activities while building strong relationships with key stakeholders across Investments, Compliance, and the wider Legal, Compliance & Public Affairs function.


This role will be based in the London office. This is a hybrid role that has a requirement of working at least three days a week in the office.


We will rely on you to:


Provide Advice, Oversight and Challenge

 

  • Act as a key point of contact for day-to-day compliance advice, supporting the Direct Investment Unit on internal policies and regulatory requirements.
  • Maintain compliance registers and contribute to the oversight of registers managed within the First Line of Defence.
  • Help strengthen and enhance the Compliance Framework through the development and maintenance of compliance policies, manuals, procedures, and training materials.
  • Undertake compliance monitoring activities to assess adherence to regulatory requirements and internal controls.
  • Manage and oversee call recording processes in partnership with business and technology teams.
  • Escalate issues where appropriate and collaborate with Compliance and Legal colleagues to identify effective solutions.
  • Develop into a trusted adviser to the business, building strong working relationships and providing practical, risk-based compliance support.
  • Support the identification, assessment, and management of compliance risks and incidents.
  • Monitor regulatory developments and assist with the implementation of regulatory change initiatives.

 

Strategic

 

  • Promote a culture of integrity, transparency, accountability, and ethical conduct.
  • Collaborate effectively across Compliance and the wider Legal, Compliance & Public Affairs function.
  • Contribute to the delivery of broader compliance objectives and strategic initiatives.

 

Regulatory

 

  • Support the business in meeting its legal, regulatory, risk, and compliance obligations.
  • Assist with preparations for regulatory engagement, including thematic reviews, supervisory visits, Compliance Monitoring reviews, and Internal Audits.
  • Help ensure that regulatory requirements are appropriately interpreted, communicated, and embedded within business processes.

 

What you need to have:

 

  • University degree or equivalent professional experience.
  • A strong track record of working within the compliance function of a UK MiFID-regulated firm.
  • A solid understanding of the UK regulatory landscape and the ability to interpret and apply regulatory requirements in a practical business environment.
  • Experience supporting compliance monitoring, regulatory advisory activities, policy governance, or risk oversight functions.
  • Strong organisational skills with the ability to manage multiple priorities and competing deadlines.
  • Excellent attention to detail and a proactive approach to ownership and delivery.

What makes you stand out:


  • A professional compliance or investment qualification (or currently studying towards one), ideally at QCA Level 4 or equivalent.
  • Working knowledge of MiFID, with exposure to AIFMD, UCITS, or other investment management related regulations being highly advantageous.
  • A genuine desire to develop a long-term career within financial services compliance.
  • The ability to build strong relationships and confidently engage with stakeholders across a wide range of business areas.
  • A pragmatic and commercially minded approach to problem-solving and risk management.
  • The ability to work independently while also collaborating effectively within a wider team environment.
  • Strong communication skills and an interest in engaging with a broad range of people and regulatory topics.

 

Why join our team?


  • We help you be your best through professional development opportunities, meaningful work, and supportive leaders who are invested in your success.
  • We foster a vibrant and inclusive culture where you can collaborate with talented colleagues, contribute innovative ideas, and make a real impact for clients, colleagues, and communities.
  • Our global scale provides access to diverse career opportunities, industry-leading expertise, and a comprehensive range of benefits and wellbeing support designed to help you thrive both professionally and personally.

 

#Hybrid

Marsh (NYSE: MRSH) is a global leader in risk, reinsurance and capital, people and investments, and management consulting, advising clients in 130 countries. With annual revenue of over $27 billion and more than 95,000 colleagues, Marsh helps build the confidence to thrive through the power of perspective. For more information, visit marsh.com, or follow us on LinkedIn and X.

Marsh is committed to embracing a diverse, inclusive and flexible work environment. We aim to attract and retain the best people and embrace diversity of age background, civil partnership status, disability, ethnic origin, family duties, gender orientation or expression, gender reassignment, marital status, nationality, parental status, personal or social status, political affiliation, race, religion and beliefs, sex/gender, sexual orientation or expression, skin color, or any other characteristic protected by applicable law. We are an equal opportunities employer. We are committed to providing reasonable adjustments in accordance with applicable law to any candidate with a disability to allow them to fully participate in the recruitment process. If you have a disability that may require reasonable adjustments, please contact us at [email protected].

Marsh is committed to hybrid work, which includes the flexibility of working remotely and the collaboration, connections and professional development benefits of working together in the office. All Marsh colleagues are expected to be in their local office or working onsite with clients at least three days per week. Office-based teams will identify at least one “anchor day” per week on which their full team will be together in person.

Skills Required

  • University degree or equivalent professional experience
  • Strong track record working within the compliance function of a UK MiFID-regulated firm
  • Solid understanding of the UK regulatory landscape and ability to interpret and apply regulatory requirements practically
  • Experience supporting compliance monitoring, regulatory advisory activities, policy governance, or risk oversight
  • Strong organizational skills and ability to manage multiple priorities and competing deadlines
  • Excellent attention to detail and proactive ownership of delivery
  • Professional compliance or investment qualification, ideally QCA Level 4 or equivalent
  • Working knowledge of MiFID, with exposure to AIFMD, UCITS, or other investment management regulations
  • Interest in developing a long-term career in financial services compliance
  • Ability to build relationships and engage confidently with stakeholders across business areas
  • Pragmatic and commercially minded approach to problem-solving and risk management
  • Ability to work independently and collaborate effectively within a wider team
  • Strong communication skills and interest in varied regulatory topics

Marsh McLennan Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about Marsh McLennan and has not been reviewed or approved by Marsh McLennan.

  • Leave & Time Off Breadth — Leave offerings are described as generous, including sizable PTO, paid holidays, paid sick days, and additional time off such as paid volunteer time and “Summer days.” These time-off benefits are portrayed as a standout part of the overall rewards package.
  • Healthcare Strength — Healthcare coverage is characterized as comprehensive, spanning medical, dental, and vision options, with additional supports like disability and life insurance and access to mental health resources and an EAP. The breadth of plan options is positioned as a core strength of the benefits package.
  • Retirement Support — Retirement benefits are framed as solid, with 401(k) programs and employer matching frequently highlighted alongside other financial programs. Stock purchase options are also referenced as an additional wealth-building component of the total rewards mix.

Marsh McLennan Insights

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The Company
HQ: New York, NY
78,000 Employees
Year Founded: 1871

What We Do

Marsh McLennan (NYSE: MMC) brings together nearly 78,000 experts in risk, strategy, and people across Marsh, Guy Carpenter, Mercer, and Oliver Wyman, serving clients in over 130 countries. Marsh enables enterprise worldwide by helping clients manage risks, transforming uncertainty into opportunity. Guy Carpenter helps clients grow profitably with reinsurance broking expertise, advisory services, and advanced analytics. Mercer helps organizations advance the health, wealth, and careers of their most vital asset — their people. Oliver Wyman’s expertise in strategy, operations, risk, and organization transformation changes what is possible for our clients, their industries, and society. Together, we combine a unique range of capabilities to help our clients solve problems, seize opportunities, and build lasting success in increasingly complex operating environments.

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