
The Legal & Compliance Division at Morgan McKinley focuses on supplying the financial services sector with qualified compliance professionals for permanent, temporary and contract roles.
As the financial services sector becomes ever more focused on regulation, the role of the compliance professional has become increasingly high profile. With frequent changes in legislation, both at a national and international level, today’s compliance professionals need to have a thorough understanding of the sector in which they work and its associated regulations.
The Morgan McKinley Legal & Compliance Division focuses on the following areas:
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Advisory
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Monitoring/Surveillance
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AML/KYC
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Control/Research
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Training and Competence
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Financial Promotions
- Data Protection
We place professionals into the following financial services sectors:
- Investment Banking
- Asset Management/Hedge Funds
- Retail Banks
- General Insurance
- Stockbroking/Private Banking
- Life & Pensions
The Legal & Compliance Division has a proven track record in placing candidates at all levels up to Heads of Compliance, with salaries ranging from £25,000 to £150,000+.
To contact the division, call 020 7557 7222 or email info@morganmckinley.com
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