Senior Financial Crime and Compliance Professional
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Senior financial crime and compliance professional with extensive experience of the global financial services industry. In-depth compliance and financial crime experience at senior management level with achievements including recovering a regulated company following disciplinary action and Tribunal, undertaking remedial work and leading financial crime, risk and compliance functions in four separate companies as Approved Person CF10/11 & SMF17. Seeking part-time position.
MLRO (part-time) (SMF17) - Aria Private Clients UK
(2025-01)
MLRO at Aria PC after updating regulatory knowledge by passing the CISI certificate in Combatting Financial Crime in December 2025. Full MLRO responsibilities with client base across UK, Ireland, Malta, Spain and UAE covering both EU & UK regulations. Due to be made redundant from this position.
SENIOR SANCTIONS AND FINANCIAL CRIME OFFICER (part-time) - AXA XL
(2021-01 - 2022-12)
Retirement - Retirement
(2022-01 - 2025-01)
HEAD OF GROUP COMPLIANCE (CF10/11) - Central Markets (London) Limited - London
(2011-01 - 2015-12)
Responsible for the full compliance function for two separate companies, proactively advising the Board on all aspects of Compliance and Anti-Financial Crime and communicating with Regulators such as FCA, NCA & HMRC.
COMPLIANCE CONSULTANT - Promontory - Dubai
(2010-01 - 2010-01)
A three-week contract role collating Management Information relating to an OFAC investigation into sanctions violations at a Tier 1 bank.
EUROPEAN MONEY LAUNDERING REPORTING OFFICER (CF11) - Instinet
(2008-01 - 2008-12)
Maternity leave cover resulting in remedial work where communication to the Board emphasized the need for a new AML programme in compliance with 3MLD, the ML Regulations 2007 & JMLSG Guidance Notes.
COMPLIANCE CONSULTANT (AML, MONITORING AND TESTING) - JP Morgan Asset Management
(2007-01 - 2007-12)
Consultancy role supplying retail, general compliance and AML experience to a predominately wholesale asset management team with worldwide remit.
SENIOR COMPLIANCE OFFICER (CF10/11) - City Equities Limited
(1997-01 - 2007-12)
Guided the company over a 10-year period, including leading recovery from disciplinary proceedings following a fine by the then Regulator FIMBRA, to become a fully compliant member of the PIA and later, the FSA.
COMPLIANCE AUDITOR/COMMERCIAL UNDERWRITER - Prudential Assurance Company
(1990-01 - 1995-12)
Began insurance career as a Commercial Underwriter at the Prudential, before moving into compliance, studying to become an Associate of the Chartered Insurance Institute.
BA (Hons) - History - King's College, London
ACII: Advanced Diploma - Insurance - Chartered Insurance Institute
ICA Diploma - International Anti-Money Laundering - Chartered Insurance Institute