SMF16 / SMF17 - Head of Compliance & MLRO

  • Cer Financial Ltd
  • Jan 31, 2026
Full time Banking Finance

Job Description

SMF16 / SMF17 - Head of Compliance & MLRO

Boutique Asset manager - Canary Wharf

Location: Canary Wharf - 2 days per week in office

Salary: £90k - £110k

Level: Senior Management Function (SMF16 & SMF17)

The Opportunity

A boutique Asset Management firm based in canary wharf is seeking an experienced Head of Compliance & MLRO to take on the SMF16 and SMF17 functions. This is a senior, high-impact role offering real visibility and influence, working closely with the Board and playing a key part in the firm's ongoing governance and regulatory framework.

The role would suit a hands-on compliance leader who is comfortable operating in a boutique asset management environment, acting as the primary FCA contact and owning compliance and financial crime matters end-to-end.

Key Responsibilities

Compliance (SMF16)

  • Overall responsibility for the firm's compliance framework, ensuring ongoing adherence to FCA rules and regulatory expectations.
  • Act as the firm's main point of contact with the FCA, managing regulatory correspondence, notifications, and supervisory interactions.
  • Advise the Board and senior management on regulatory developments, conduct risk, and governance issues.
  • Oversee investment compliance, including:
  • Investment restrictions and mandates
  • Conflicts of interest
  • Best execution
  • Market conduct and financial promotions
  • Product governance (PROD)
  • Design and deliver the Compliance Monitoring Programme, reporting findings and driving remediation.
  • Own and maintain the firm's SMCR framework, including Statements of Responsibilities, fitness & propriety, and conduct rules matters.
  • Support compliance training and embed a strong compliance culture across the business.

Financial Crime & MLRO (SMF17)

  • Act as Money Laundering Reporting Officer, with full responsibility for AML/CTF compliance.
  • Maintain the firm's financial crime risk assessment, policies, and controls.
  • Oversee CDD/EDD, onboarding, ongoing monitoring, and sanctions screening.
  • Review internal disclosures and determine submission of SARs to the NCA.
  • Provide regular AML and financial crime reporting to the Board.

Governance & Senior Stakeholder Engagement

  • Attend Board meetings and provide independent challenge and assurance.
  • Escalate material regulatory or financial

Key Skills

  • FCA-regulated asset management or closely related experience
  • Strong knowledge of FCA rules and SMCR
  • Experience as primary regulator contact
  • Integrity, judgement, and independent challenge