Wealth Compliance Officer
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A Wealth Compliance Officer in London supports the adherence to regulatory standards and internal policies for mutual funds and investment advice. This role involves reviewing and approving investment activities, monitoring licensed staff, and ensuring regulatory reporting and compliance. The position requires experience in financial services, knowledge of investment products and regulations, and mutual fund licensing credentials. The officer provides training, liaises with regulators, and contributes to audit processes, supporting the effective operation of wealth management activities. Technical skills include proficiency in related software, compliance frameworks, and regulatory standards. The role demands attention to detail, good communication skills, and a strong understanding of financial regulations and client service.
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