Description
An independent and privately owned Guernsey-regulated family office is seeking an experienced Compliance Manager to join its growing team. The company delivers bespoke fiduciary and family office services to Ultra High Net Worth individuals and their families across the UK, Israel, and Sub-Saharan Africa. With a highly personalised and international service model, the firm is also exploring expansion into the Middle East.
This is an excellent opportunity to join a modern, forward-thinking organisation offering a blend of hands-on compliance responsibilities and strategic oversight within an owner-managed environment. The company provides a contemporary office space just outside St Peter Port, with future plans for enhanced staff amenities, including a common room, gym, and dining facilities. Flexible working hours and occasional remote work are also offered to support a healthy work-life balance.
Responsibilities of the Role
Working as part of the non-client-facing compliance team, and reporting to senior management, the Compliance Manager will:
• Support the onboarding of new clients and third-party relationships, including drafting source of wealth memorandums and risk documentation.
• Assist client relationship and business development teams to ensure legal, tax, and regulatory advice is accurately interpreted and recorded.
• Complete risk assessments and reviews for new and existing business relationships.
• Lead and manage risk monitoring plans, sanctions screening, and trigger event assessments.
• Organise and support the risk committee and contribute to its reporting function to the Board.
• Provide oversight and assistance to the MLRO, MLCO, and Compliance Officer in regulatory monitoring and reviews.
• Mentor junior compliance team members and contribute to the continuous improvement of regulatory processes.
• Assist with the design and implementation of automated workflows, guidance documents, and risk tools to enhance compliance efficiency.
What You’ll Bring
• Guernsey right to work.
• 10+ years’ experience in financial services, including 5+ years in a compliance role.
• A recognised qualification such as ICA.
• Strong knowledge of regulatory environments, risk assessment, and AML/CFT controls.
• High attention to detail with excellent organisational and multitasking skills.
• Proficiency in compliance technology and interest in driving efficiency through automation.
• Excellent verbal and written communication skills and a proactive, collaborative mindset.
What’s in It for You?
• A key role in a boutique, high-calibre family office environment.
• Opportunities to influence compliance systems and technological innovation.
• Flexible working arrangements and a commitment to work-life integration.
• A supportive culture that values team collaboration, integrity, and professional development.
For more information, please email: admin@blinkrecruitment.gg or call: +44 1481 723221. Please visit our website www.blinkrecruitment.gg for our latest vacancies.
This is an excellent opportunity to join a modern, forward-thinking organisation offering a blend of hands-on compliance responsibilities and strategic oversight within an owner-managed environment. The company provides a contemporary office space just outside St Peter Port, with future plans for enhanced staff amenities, including a common room, gym, and dining facilities. Flexible working hours and occasional remote work are also offered to support a healthy work-life balance.
Responsibilities of the Role
Working as part of the non-client-facing compliance team, and reporting to senior management, the Compliance Manager will:
• Support the onboarding of new clients and third-party relationships, including drafting source of wealth memorandums and risk documentation.
• Assist client relationship and business development teams to ensure legal, tax, and regulatory advice is accurately interpreted and recorded.
• Complete risk assessments and reviews for new and existing business relationships.
• Lead and manage risk monitoring plans, sanctions screening, and trigger event assessments.
• Organise and support the risk committee and contribute to its reporting function to the Board.
• Provide oversight and assistance to the MLRO, MLCO, and Compliance Officer in regulatory monitoring and reviews.
• Mentor junior compliance team members and contribute to the continuous improvement of regulatory processes.
• Assist with the design and implementation of automated workflows, guidance documents, and risk tools to enhance compliance efficiency.
What You’ll Bring
• Guernsey right to work.
• 10+ years’ experience in financial services, including 5+ years in a compliance role.
• A recognised qualification such as ICA.
• Strong knowledge of regulatory environments, risk assessment, and AML/CFT controls.
• High attention to detail with excellent organisational and multitasking skills.
• Proficiency in compliance technology and interest in driving efficiency through automation.
• Excellent verbal and written communication skills and a proactive, collaborative mindset.
What’s in It for You?
• A key role in a boutique, high-calibre family office environment.
• Opportunities to influence compliance systems and technological innovation.
• Flexible working arrangements and a commitment to work-life integration.
• A supportive culture that values team collaboration, integrity, and professional development.
For more information, please email: admin@blinkrecruitment.gg or call: +44 1481 723221. Please visit our website www.blinkrecruitment.gg for our latest vacancies.