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Benchmark Capital logo

Quality And Risk Analyst

Benchmark Capital
Posted 1 weeks ago
🇬🇧United Kingdom🏢Hybrid📁Legal & Compliance
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We are looking for a Quality Review Assessor to join our Compliance team and play a key role in maintaining and improving the quality of advice delivered across our network. You will conduct file reviews, assess adviser suitability and regulatory compliance, identify trends and risks, and support firms in delivering good client outcomes. You will work closely with advisers, senior management, and compliance colleagues to promote high standards of advice and regulatory compliance across the business. What you'll do Maintain a comprehensive programme of file monitoring across the network in line with regulatory requirements. Conduct quality of advice reviews across all areas of the business and Appointed Representative (AR) firms. Record, analyse and report on emerging trends, ensuring findings are communicated within agreed timescales. Carry out enhanced monitoring reviews, risk assessments, and focused business reviews where required. Analyse exception reporting data to identify patterns, risks, and opportunities for improvement. Support member firms by coordinating and delivering training designed to improve advice quality and regulatory standards. Assist with pre-approval requirements across specific advice areas. Attend Compliance Team meetings, contribute to discussions, and prepare meeting minutes when required. Attend and contribute to governance and committee meetings across the group. Provide ongoing monitoring and compliance support to the wider team. Participate in projects, initiatives, and continuous improvement activities across the compliance function. Build effective working relationships with advisers, member firms, and senior stakeholders. Provide telephone support and guidance on compliance-related matters. The knowledge, experience and qualifications you need Knowledge and Skills Excellent knowledge of retail investment, pensions, savings, and protection products within the wealth management sector. Strong understanding of FCA regulations and the practical application of regulatory requirements. Excellent analytical and observational skills with strong attention to detail. Highly developed written and verbal communication skills. Ability to communicate confidently with a wide range of stakeholders while remaining adaptable and collaborative. Strong organisational skills with the ability to manage multiple priorities effectively. Qualifications Minimum Level 4 Diploma qualification in Financial Planning or an equivalent regulated advice qualification. Experience Significant experience within financial services, ideally within a wealth management, investment, or insurance environment. Experience conducting suitability reviews, file checking, quality assurance reviews, or compliance monitoring activities. Good understanding of FCA and PRA regulatory expectations and compliance requirements. Experience identifying trends, assessing risk, and providing constructive feedback to support improvements in advice quality. The base You’ll be based at our Harrogate, North Yorkshire office, a well-connected location that combines a professional working environment with the benefits of a well-regarded market town. The area offers easy access to local amenities, green space, and transport links. The office provides a practical, modern setting designed to support day-to-day work and collaboration across the team. We support a balanced approach to work and recognise the value of a working environment that enables both productivity and flexibility.

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