We work in partnership with a full range of clients across the Financial Services sector including banks, brokers, asset managers and insurers; representing start up’s through to global banking organisations.
We cover a wide range of roles including; Head of Compliance and MLRO (control functions CF10 & CF11), Compliance Managers (Monitoring & Advisory), Conduct Risk Specialists, Regulatory Change, Financial Promotions, Anti- Money Laundering & Financial Crime, Client Money, Training & Development, Control Room, Pre and Post Trading, Regulatory Complaints.
Over the years we have built a loyal network within the compliance community and this has enabled us to develop a large database of significant and diverse contacts.
On a daily basis we research the market, meet and speak with skilled individuals to continually grow our network. This means we can find people who may not be on the open job market. We also maintain a current online presence to keep up to date with market changes and to attract new job seekers.
As a small firm we are nimble and diverse to meet your requirements and you will deal with the same people throughout. We devote time to understand the uniqueness of your business and requirements, to enable us to send you CV’s that specifically match your criteria. We maintain the relationship throughout; seeking feedback and remaining adaptable to refining the original search to getting the best outcome.