Global top tier asset management firm, seeks a compliance professional for its advisory team. The business operates in a complex and dynamic, multi-jurisdictional regulatory environment, so the incumbent will be required to deliver actionable consultative compliance support to the Equity and Fixed Income investment business, serving as contact point for investment professionals including Portfolio Managers, Analysts, Traders and Portfolio Modellers. This will require the successful candidate to assist with the ongoing monitoring of regulatory changes with a view to issuing advice and guidelines to the business. Candidates are sought with at least 4 years compliance experience, preferably gained within the asset management sector. Working knowledge of UCITS, mutual funds and segregated accounts would be desirable, additionally to FCA rules CASS and COLL. This is an excellent opportunity in a business renowned for its stability and collegiate working culture.