Eden Conveyancing

Residential Conveyancing Compliance Manager

Bristol Hybrid Vollzeit Veröffentlicht Mai 5, 2026
StandortBristol
ArbeitsortHybrid
AnstellungVollzeit
Veröffentlicht5. Mai 2026
Zuletzt geprüft8. Mai 2026

Do you want to work for a firm that is changing the conveyancing industry? Do you believe compliance should enable growth, not slow it down? Do you want to be trusted to protect both clients and the business?

At Eden, we're a digital-first, people-centred firm on a mission to transform the conveyancing industry. We guide our clients through their entire property journey with clarity, efficiency, and care - and we're growing a team of forward-thinking individuals who share our vision.

We're looking for a Compliance Manager to join our team. You'll support the HOLP and HOFA by operating and maintaining the firm’s compliance framework and acting as the first line of oversight for regulatory risk.

The role ensures the firm meets its regulatory, legal, and professional obligations under the CLC regulatory arrangements and applicable AML legislation. The Compliance Manager acts as the firm’s operational compliance lead and Money Laundering Reporting Officer (MLRO), providing assurance to senior management and embedding a strong compliance culture that delivers positive client outcomes.

You will hold a current practising certificate or licence issued by a regulator in England and Wales and meet the CLC’s fit and proper person requirements.

What you'll do

File Reviews & Compliance

  • Operate and maintain the firm’s compliance framework in support of the HOLP and HOFA.
  • Conduct risk‑based and thematic file reviews, identifying trends, recurring issues, and training needs.
  • Report findings to senior management and escalate high‑risk or systemic issues appropriately.
  • Maintain records of compliance breaches and ensure remedial actions are implemented.

AML / MLRO

  • Act as the firm’s Money Laundering Reporting Officer (MLRO).
  • Oversee the AML/CTF framework, including CDD, EDD, ongoing monitoring, and sanctions screening.
  • Maintain the Firm‑Wide AML Risk Assessment and review AML policies in line with regulatory change.
  • Receive and assess internal Suspicious Activity Reports.
  • Have the authority and seniority to submit SARs to the NCA without reference to another individual.
  • Maintain AML competence through ongoing professional development and monitoring of sector risk.

Policies & Risk Management

  • Maintain and review compliance‑related policies, including AML, complaints, conflicts, data protection, file review, business continuity, and information security (oversight in conjunction with IT / Operations).
  • Ensure policies are reviewed annually or following regulatory change.
  • Maintain the firm’s central risk register and conduct firm‑wide risk assessments.
  • Monitor regulatory updates and advise senior management on compliance risk and mitigation.

Training & Competence

  • Ensure staff complete mandatory compliance training, including AML, data protection, complaints handling, and conveyancing‑specific regulatory updates.
  • Coordinate compliance training delivery and ensure induction training for new starters.
  • Monitor training completion and competency requirements.

Reporting & Regulatory Engagement

  • Prepare regular compliance reports for the Senior Leadership Team.
  • Support the HOLP and HOFA with regulatory returns, declarations, and inspections.
  • Liaise with the CLC during inspections, thematic reviews, and regulatory enquiries, supporting remediation where required.

Bevor du gehst

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