Act as a primary compliance contact for the local US office, ensuring timely and pragmatic support of business matters and requests, Work closely with the business development team on new initiatives, including reviewing marketing documentation, Run local compliance processes, including internal registers, books and records, and periodic reviews, Assist with administering and monitoring compliance with the firm's Code of Ethics, including personal account dealing and related staff obligations, Support the rollout of compliance training and coordinate with US-based stakeholders to ensure timely completion, Escalate issues, breaches, and exceptions where appropriate and follow through on remediation actions, Monitor relevant regulatory developments, including through industry sources and events where appropriate, and share key updates with the Group Head of Regulatory. SKILLSET REQUIREMENTS/QUALIFICATIONSYou have a master's degree in business, law or engineering from a highly regarded institution, You have 5-7 years of experience in compliance within an asset manager, investment firm, or similar regulated financial institution, You are practical, execution-oriented, and comfortable handling a wide range of recurring compliance tasks with accuracy and reliability, You are able to operate with a high degree of ownership and autonomy while remaining closely aligned with group-level oversight, You are confident interacting with business teams and can provide clear, pragmatic compliance guidance both verbally and in writing, You have a good understanding of the regulatory framework applicable to US asset managers and investment advisers, as well as of financial markets and financial products, You are comfortable using IT systems to support efficient execution and oversight.