**About the Role**
Morgan McKinley has partnered with a leading Alternatives Investment Fund Manager to recruit a Head of Compliance. The successful candidate will be responsible for ensuring the firm's compliance with all regulatory requirements.
The Head of Compliance will have several key responsibilities:
* Preparing, reviewing, and advising on Compliance Policies and Group Policies.
* Managing the Governance system and portal.
* Coordinating and reviewing the policies and procedures of the funds under management.
In addition, the Head of Compliance will work closely with the group compliance team and sit on the Compliance Committee, participating in monthly meetings. They will also work with the team in Dublin to review investment compliance of funds under management and execute the Annual Compliance Plan.
The Head of Compliance will advise and guide staff on compliance matters, assist in the review of the risk management framework, and support the MLRO with AML reviews.
The role requires preparing reports and updates for the Board, the Central Bank, and Senior Management.
**Requirements**
* Experience in a PCF12 role, ideally in asset management or the funds industry.
* Experience with regulations issued by the CBI and ESMA (CP86, AIFMD, UCITS).
* AML/CDD/KYC knowledge and experience.
* Experience dealing with and managing the CBI relationship, including day-to-day matters.
**Skills Required**
* Head of Compliance.
* PCF 12.
* PCF39F.