The Role
Develop and execute SCA/CMA-compliant financial promotion strategies, review and approve marketing materials, coordinate with Compliance, perform client risk profiling and suitability assessments, maintain records, and report campaign and regulatory matters to senior management.
Summary Generated by Built In
Responsibilities:
- Develop and execute financial promotion strategies for investment products and services, aligned with business objectives and SCA/CMA regulatory standards;
- Review and approve all marketing materials and client communications before publication — ensuring they are fair, clear, and not misleading;
- Coordinate with the Compliance team to maintain regulatory adherence, manage audit readiness, and respond to regulatory inquiries;
- Promote SCA/CMA-compliant investment products, including local and foreign funds, to eligible clients within approved regulatory boundaries;
- Collect client information and evaluate risk tolerance through structured Risk Profile assessments;
- Support client introductions and engagement initiatives, ensuring suitability assessments are conducted appropriately;
- Maintain accurate records of all promotional activities, approvals, and client interactions in line with record-keeping obligations;
- Provide regular reports on campaign performance, compliance matters, and regulatory developments for senior management;
- Stay current with changes in UAE financial regulations, SCA/CMA guidance, and industry best practices to proactively advise the business.
Requirements:
- SCA/CMA approved Promotion Manager — or eligible to be approved as Promotion Manager (Category 5 role);
- Passed UAE Financial Rules & Regulations examination;
- Passed ICWIM Level 3 – International Certificate in Wealth & Investment Management;
- University degree plus minimum 3 years of experience in financial analysis or promotions within financial markets, investment, wealth management, or financial planning — OR a diploma with minimum 7 years of equivalent experience;
- Alternatively: minimum 3 years of relevant experience combined with one of the following: Accredited Financial Analyst, Certified Investment Professional, CQF, CFA, CIIA, FRM, or ICA Specialist Certificate in Conduct Risk;
- Strong understanding of UAE financial markets regulation, SCA/CMA rules, and financial promotion framework;
- Proven experience reviewing and approving regulated financial marketing content;
- Experience conducting client risk profiling and suitability assessments;
- Excellent written and verbal communication skills with high attention to detail;
- Ability to work cross-functionally with Compliance, Marketing, and senior management in a fast-paced environment;
- Strong analytical mindset — able to evaluate campaign performance and regulatory compliance simultaneously.
Skills Required
- SCA/CMA approved Promotion Manager or eligible for approval (Category 5)
- Passed UAE Financial Rules & Regulations examination
- Passed ICWIM Level 3 (International Certificate in Wealth & Investment Management)
- University degree plus minimum 3 years' experience in financial analysis or promotions within financial markets, investment, wealth management, or financial planning, OR diploma with minimum 7 years' equivalent experience
- Alternatively: minimum 3 years' relevant experience combined with one of: Accredited Financial Analyst, Certified Investment Professional, CQF, CFA, CIIA, FRM, or ICA Specialist Certificate in Conduct Risk
- Strong understanding of UAE financial markets regulation, SCA/CMA rules, and financial promotion framework
- Proven experience reviewing and approving regulated financial marketing content
- Experience conducting client risk profiling and suitability assessments
- Excellent written and verbal communication skills with high attention to detail
- Ability to work cross-functionally with Compliance, Marketing, and senior management in a fast-paced environment
- Strong analytical mindset able to evaluate campaign performance and regulatory compliance
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The Company
What We Do
TradeQuo Global Ltd is a Securities Dealer registered in Seychelles with registration number 8430709-1 and authorized by the Financial Services Authority (FSA) with license number SD140. The registered office of TradeQuo Global Ltd is at 9A CT House, Providence, Mahe, Seychelles.








