File Reviewer
6 months ago
**Position**: File Reviewer
**Company Overview**: Hoxton Capital is a leading financial advisory company dedicated to providing bespoke wealth management solutions to high-net-worth individuals and families. With a commitment to excellence, integrity, and personalized service, we empower our clients to achieve their financial goals with confidence and peace of mind. As part of our ongoing commitment to regulatory compliance and quality assurance, we are seeking a diligent and detail-oriented File Reviewer to join our team at our UK office.
**Key Responsibilities**:
- Conduct comprehensive reviews of client files to assess the completeness, accuracy, and suitability of the advice provided, in accordance with regulatory requirements and internal policies.
- Verify that all documentation and disclosures are up-to-date, properly completed, and compliant with relevant regulations, including but not limited to MiFID II, FCA rules, and GDPR.
- Evaluate the appropriateness of investment recommendations, risk assessments, and financial planning strategies based on client profiles, objectives, and risk tolerance.
- Identify and escalate any deficiencies, inconsistencies, or potential compliance issues identified during file reviews to the appropriate stakeholders for resolution.
- Maintain detailed records of file review findings, observations, and recommendations, ensuring accuracy, completeness, and confidentiality.
- Collaborate with compliance, legal, and advisory teams to address any regulatory or operational concerns and implement corrective actions as necessary.
- Provide feedback, guidance, and training to advisors and support staff on compliance-related matters, best practices, and areas for improvement.
- Stay abreast of regulatory developments, industry trends, and internal policies and procedures, and incorporate changes into file review processes as appropriate.
- Assist in the development and enhancement of file review methodologies, tools, and templates to streamline processes and improve efficiency and effectiveness.
- Support ad-hoc projects, initiatives, and regulatory examinations as needed, demonstrating flexibility and willingness to contribute to the broader goals of the firm.
**Qualifications and Requirements**:
- Bachelor's degree in finance, business administration, law, or a related field. Professional certifications (e.g., CISI, CFA, CFP) preferred.
- Minimum of 3-5 years of experience in a similar role within the financial services industry, preferably in a wealth management or advisory firm.
- Solid understanding of regulatory requirements and industry standards governing the provision of financial advice and investment services, including MiFID II, FCA rules, and GDPR.
- Strong analytical skills and attention to detail, with the ability to review complex financial documents and identify potential compliance issues or discrepancies.
- Excellent communication and interpersonal skills, with the ability to interact effectively with colleagues at all levels of the organization and provide constructive feedback.
- Ability to work independently and prioritize tasks effectively in a fast-paced, deadline-driven environment, while maintaining a high level of accuracy and quality.
- Proficiency in Microsoft Office suite (Word, Excel, PowerPoint) and familiarity with document management systems and compliance software.
- Commitment to upholding professional standards of ethics, integrity, and confidentiality in all aspects of work.
- Flexibility to adapt to changing regulatory requirements, business needs, and priorities, and a willingness to participate in ongoing training and development.
- Legal right to work in the UK without sponsorship.
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