The primary responsibilities include driving a culture of compliance, supporting regulatory risk management across the Private Client team, providing day-to-day risk management guidance, and quantifying business impacts of regulatory changes. The role involves collaborative work with compliance teams, delivering regulatory responses, and representing the team in governance forums.
Candidates must have 5+ years of compliance advisory experience, preferably in mortgage lending, payments, and banking compliance. Required technical knowledge includes understanding of Mortgage Credit Directive, Banking Conduct of Business rules, and Payment Services Regulations. The ideal candidate can independently deliver regulatory projects, interpret legislative changes, and translate complex regulatory information into practical instructions.
Investec offers a comprehensive benefits package including a non-contributory pension, discretionary bonus, life assurance, private medical cover, virtual GP services, gym membership, and a flexible working model of 4 days in-office and one day remote. The bank emphasizes a collaborative culture, entrepreneurial spirit, and commitment to inclusion and belonging.