Asset management entity investing on behalf of a major private sector defined benefit employee pension scheme seeks a senior compliance advisory professional to join its small Risk & Compliance team. Reporting into the departmental head, the role's primary purpose will be to provide advice, guidance and training to the business, whilst also challenging and maintaining oversight of first line control functions. The incumbent will support the Head of Risk & Compliance in managing and developing the compliance advisory framework, promoting a positive compliance culture across the business ensuring effective implementation of new regulatory developments. Furthermore you will take a lead role in regulatory liaison, whilst contributing to wider compliance issues such as financial crime, data privacy and reporting. This is an autonomous and responsible role, so candidates are sought with significant compliance experience gained within the investment management sector.