Compliance Professionals is a specialist recruitment consultancy providing tailored recruitment solutions to Compliance Departments throughout regulated and non-regulated financial services houses. Our client base spans Investment Banking, Private/Retail Banking, Fund Management, On/Off line broking, Stockbroking, Exchanges, Life & Pension Product Providers, Insurance Companies and Financial Advisers.
As a niche firm built on long-term relationships with clients and candidates alike, we provide temporary, contract and permanent recruitment solutions.
Our Compliance Division focuses on positions at all levels including those within the following areas:
· Advisory
· Monitoring
· Anti - Money Laundering
· Derivatives
· Equities
· Fixed Income
· Broker Dealing
· Fund Management (OEIC's, UT, IT)
· Money Markets/Treasury
· Marketing & Advertising
· Training & Competence
Our strength lies not only in the specialist nature of our firm but also in the commitment we show towards our clients and candidates. We recognise the importance of communication throughout the recruitment process, as well as during interim periods when we will be more than happy to provide you with recruitment advice, and information regarding salaries and market conditions.
For further information or for a confidential discussion, please contact us without obligation.
Specialties
Compliance Recruitment, AML Recruitment, KYC Recruitment