Compliance Analyst

Posted 12 Days Ago
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Warsaw, Warszawa, Mazowieckie, POL
In-Office
Junior
Fintech • Payments • Financial Services
The Role
Support delivery and enhancement of the Compliance Monitoring Programme by conducting monitoring, testing and thematic reviews, identifying control weaknesses and regulatory risks, producing evidence-based findings and management reporting, performing trend analysis, and helping develop monitoring methodologies, dashboards and reporting to inform senior management.
Summary Generated by Built In

The role is responsible for supporting the delivery, enhancement and ongoing management of the Compliance Monitoring Programme (CMP). The role will assist in assessing the effectiveness of the firm’s compliance framework, identifying areas of regulatory risk, conducting monitoring and testing activity, and supporting the delivery of compliance reviews, thematic work and management reporting.

Reporting into the Head of Compliance Monitoring and the Compliance Manager, the role will work closely with Compliance colleagues and key stakeholders across the business, including front office teams, to ensure that regulatory obligations, internal policies and compliance standards are understood, monitored and appropriately embedded.

Compliance Monitoring, Testing and Reviews:

  • Conduct compliance monitoring and testing across relevant business areas to assess adherence to regulatory requirements, internal policies, procedures and control standards.
  • Perform detailed reviews of business activity, processes, controls, client outcomes, communications, records and management information as part of scheduled monitoring work.
  • Support the delivery of thematic reviews and deep-dive assessments into specific compliance risks, regulatory priorities, business areas or emerging issues.
  • Identify control weaknesses, process gaps, instances of non-compliance and areas where regulatory or conduct risks may not be adequately managed.
  • Enhance existing monthly and quarterly compliance monitoring and testing activities to improve the quality, consistency and effectiveness of compliance oversight.
  • Ensure monitoring work is properly documented, evidence-based and completed in line with agreed methodology, timelines and quality standards.
  • Contribute to the ongoing development of compliance monitoring methodologies, testing approaches, review templates and working papers.

Trend Analysis, Findings and Management Information:

  • Conduct trend analysis on compliance monitoring results, incidents, breaches, complaints, policy exceptions and other relevant data sources.
  • Identify recurring themes, emerging patterns, root causes and areas of increasing regulatory or conduct risk.
  • Support the production of meaningful management information to help senior management and governance committees understand the firm’s compliance risk profile.
  • Present findings in a clear and practical way, ensuring that issues are understood by relevant stakeholders and supported by appropriate evidence.
  • Contribute to the development of dashboards, metrics, key risk indicators and reporting packs used to monitor compliance performance and control effectiveness.

Key Skills & Experience

  • Experience working in Compliance, Risk, Internal Audit, Assurance, Monitoring or a similar control function within financial services.
  • Understanding of compliance monitoring and control testing.
  • Good knowledge of regulatory requirements and the UK financial services regulatory environment.
  • Strong analytical skills, with the ability to interpret information, identify trends and draw clear conclusions.
  • Ability to produce clear, structured and accurate reports for management and stakeholders.
  • Strong attention to detail and the ability to assess evidence objectively.
  • Good organisational skills, with the ability to manage multiple reviews, actions and deadlines.
  • Confident communication skills, with the ability to engage with front office and wider business stakeholders.
  • Ability to challenge constructively and escalate issues appropriately.
  • Strong working knowledge of Microsoft Office, including Excel, Word and PowerPoint.
  • Relevant compliance, risk or financial services qualification, or a willingness to work towards one.

CMC Markets is an equal opportunities employer and positively encourages applications from suitably qualified and eligible candidates regardless of gender, sexual orientation, marital or civil partner status, gender reassignment, race, colour, nationality, ethnic or national origin, religion or belief, disability or age

Skills Required

  • Experience working in Compliance, Risk, Internal Audit, Assurance, Monitoring or a similar control function within financial services
  • Understanding of compliance monitoring and control testing
  • Good knowledge of regulatory requirements and the UK financial services regulatory environment
  • Strong analytical skills, ability to interpret information, identify trends and draw clear conclusions
  • Ability to produce clear, structured and accurate reports for management and stakeholders
  • Strong attention to detail and ability to assess evidence objectively
  • Good organisational skills, with the ability to manage multiple reviews, actions and deadlines
  • Confident communication skills, with the ability to engage with front office and wider business stakeholders
  • Ability to challenge constructively and escalate issues appropriately
  • Strong working knowledge of Microsoft Office, including Excel, Word and PowerPoint
  • Relevant compliance, risk or financial services qualification, or willingness to work towards one
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The Company
HQ: London
1,366 Employees
Year Founded: 1989

What We Do

CMC Markets is a leading global provider of online trading and investing, with a comprehensive retail, professional and institutional offering. Established in 1989, headquartered in London and listed on the London Stock Exchange, we have offices in Australia, China, Singapore, and across Europe. Over 1m traders and investors* worldwide have access to our proprietary platforms, native mobile trading apps, and MetaTrader 4. Our clients can trade on a huge range of financial instruments through our award-winning spread betting, CFD and share trading platforms**. We provide transparent, competitive pricing, market insights, and dedicated, 24/5 customer service. *1.388 million unique user logins for the CMC Markets invest and CFD platforms globally, as at August 2023. **Awards include: No.1 Web Platform & No.1 Most Currency Pairs, ForexBrokers.com Awards 2023; Best Forex Broker, Good Money Guide Awards 2023; Best In-House Analysts, Professional Trader Awards 2023; CFD Provider of the Year, Investors' Chronicle/Financial Times Celebration of Investment Awards 2023; No.1 Platform Technology, ForexBrokers.com Awards 2022; Best Mobile Trading Platform, ADVFN International Financial Awards 2022. Disclaimer: Spread bets and CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 68% of retail investor accounts lose money when spread betting and/or trading CFDs with this provider. You should consider whether you understand how spread bets, CFDs, OTC options or any of our other products work and whether you can afford to take the high risk of losing your money. Professional clients: Countdowns carry risk to any capital invested. These products are not suitable for all investors. CMC does not endorse, control or take responsibility for any third party content on or linked to this account. Nothing in this material is (or should be considered to be) financial, investment or other advice on which reliance should be placed

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