Head of Compliance UK
About Patria
Patria is, essentially, a long-lasting and resilient entrepreneurial Partnership, that continually observes reality, anticipates trends and adapts to capture them. Here we are home to professionals who carry this entrepreneurial spirit, who know how to transform ideas into real business opportunities, and who are engaged in the development and perpetuation of the Partnership.
Role Overview
The Head of Compliance UK will be responsible for leading the UK compliance function in a Private Equity Fund of Funds CPMI Firm (AIFMD & MIFID) as well as overseeing elements of US, Middle East, and Asia-Pacific compliance. This senior leadership role will take on the SMF 16 and 17 Designations and will ensure the effective execution of the compliance framework. A hands on role spanning all aspects of compliance, we are looking for a strong compliance leader who wants to deliver excellence in a fast growing firm.
Key Responsibilities
• Regulatory Leadership
o Act as the appointed Compliance Officer for FCA-regulated entities (SMF16) and SEC-regulated entities (US CCO).
o Serve as the Money Laundering Reporting Officer (MLRO – SMF17), overseeing the Anti-Financial Crime (AFC) program.
• Strategic Compliance Management
o Develop and implement regional compliance frameworks aligned with global standards.
o Advise senior leadership across regions on compliance matters and emerging risks.
o Monitor regulatory developments and ensure timely adoption of changes.
• Governance & Oversight
o Provide regular compliance reporting to Boards, Senior Management, and the Global CCO.
o Conduct risk assessments and develop mitigation strategies across business lines.
o Execute and oversee the risk-based compliance monitoring plan.
• Training & Culture
o Deliver targeted compliance training programs to staff at all levels.
o Promote a strong compliance culture across jurisdictions.
• Regulatory Engagement
o Act as the primary point of contact for regulatory inquiries, audits, and examinations.
o Respond to client due diligence questionnaires (DDQs) from a compliance perspective.
• Risk & Third-Party Management
o Oversee execution of the Risk Management Framework and AIFMD Risk Management Process.
o Act as the primary point of contact for regulatory inquiries and examinations.
o Manage relationships with third-party compliance service providers.
Qualifications & Experience
• Proven experience in a senior compliance role ideally with SMF 16/17 Experience
• Deep understanding of FCA (AIFMD & MIFID) and SEC regulatory frameworks.
• Strong leadership and stakeholder engagement skills.
• Ability to navigate complex regulatory environments and drive strategic compliance initiatives.
Diversity:
At Patria we do not discriminate against any employee or applicant for employment because of race, color, sex, age, national origin, religion, sexual orientation, gender identity and/or expression, status as a veteran, and basis of disability or any other federal, state or local protected class. Our employment policies strictly prohibit all forms of discrimination on any of the grounds in relevant laws. All our employment practices are solely based on individual merit and our organization's needs at the time.
- Department
- Corporate - Compliance
- Role
- VP
- Locations
- Edinburgh Office
- Remote status
- Hybrid
- Employment type
- Full-time
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