Head of Risk and Compliance
Title: Head of Risk & Compliance
Reporting to: General Council
RESPONSIBILITIES:
What will I be doing?
Provide leadership & direction to the business in respect of best practice in Risk, Compliance and Anti Money Laundering
Be the external point of contact on risk and compliance matters with stakeholders, auditors and regulators (UKGC, AGCC)
Be the internal point of contact for regulatory advice, guidance and queries
Ensure the Three Lines of Defence Model is maintained and continuously improved
Provide strong leadership and effective management of the existing highly motivated team, ensuring they are prepared to meet the demands of an ever-changing and high growth business environment
Lead and promote a top class compliance culture and framework throughout the group, promoting values & behaviours, ensuring each function within the business fully complies with licensing and regulatory requirements
Take ownership of the following sectors of the business; Regulatory contact and reporting, policies and procedures, AML (Fraud, KYC, EDD, Customer Risk Assessment), Responsible Gambling, compliance risk assessment/register, Compliance Committee, compliance complaints, compliance monitoring (internal audit), maintain the internal control system (ICS) document, training, payments and data protection
Report to the GC, Compliance Committee, Senior Management Team and relevant Boards, any key findings and recommendations on all Risk & Compliance matters via regular reporting
Be the lead person on the Compliance Committee, ensuring agendas, reports and minutes are maintained and interact with the independent chairperson
Monitor & implement new regulatory guidance, identify compliance requirements, update/create policies and procedures and liaise with all levels of management, Compliance Committee and the Board to address and establish controls as needed
Continually assess systems via compliance monitoring to improve the controls environment, identify areas of the business where there may be a risk of non-compliance and develop projects to implement remedial plans
Where appropriate, help manage third party relationships and share best practice with them to facilitate compliance with licensing and regulatory requirements
What we are looking for:
Strong relationship skills and the ability to work collaboratively
Decisiveness and an ability to explain and communicate decisions to a range of audiences at Board level, Compliance Committee, Compliance team and colleagues in other departments
The ability to make significant decisions in the face of uncertainty/ambiguity
The ability to influence both peers and the wider organisation whilst maintaining a cohesive dynamic
A positive enthusiastic individual who is capable of managing their own workload notwithstanding competing priorities, and who responds well to change
Commercially minded
A meticulous approach with an eye for detail
People person
EXPERIENCE:
The ideal candidate will:
Have a minimum of 3+ years experience in Risk and Compliance
Have comprehensive knowledge of gaming regulatory frameworks (UKGC), KYC, EDD, AML, Data Protection, and other areas relevant to the online gaming industry
Have had or currently have a working relationship with a regulator
Have reported to senior leadership
Have led a team to help in the delivery of the risk and compliance objectives
Be experienced in identifying the risk of fraud and the means for detection, investigation and prevention
Have an understanding of the Three Lines of Defence model, risk management, risk registers, controls and governance
Hold a regulatory licence (e.g. a personal management licence issued by the UK Gambling Commission is desirable)
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