Fundment is a fast-growing wealth infrastructure company, building on our success in transforming the £3 trillion UK wealth management market with our cutting-edge digital investment system. We are passionate about revolutionising the investment experience for financial advisers and their clients by combining innovative proprietary technology with exceptional customer service.
Fundment is seeking a Compliance Analyst (AML/KYC) to support the Compliance team, with a primary focus on AML and KYC oversight. This role is critical in ensuring that client due diligence and ongoing monitoring obligations are met in line with FCA expectations, while supporting the firm’s continued growth.
The successful candidate will initially focus on KYC file reviews and AML monitoring, with the opportunity over time to develop into broader areas of compliance, including thematic reviews, regulatory change, and second-line assurance.
Conduct regular KYC and CDD file reviews across the adviser-led platform and DFM business
Review client onboarding documentation to ensure completeness, accuracy, and regulatory compliance
Perform ongoing monitoring checks, including periodic reviews and trigger events
Identify, document, and escalate AML/KYC issues, breaches, or weaknesses in a timely manner
Support the maintenance and enhancement of AML/KYC policies, procedures, and controls
Assist with responses to AML-related queries from the business
Support the Compliance team with elements of the compliance monitoring plan
Assist with data gathering, testing, and documentation for monitoring reviews
Help prepare management information and reporting for senior management and committees
Maintain accurate compliance records and evidence logs
Minimum 12 months’ experience in a compliance, AML, or KYC role within financial services
Experience within an investment firm, platform, DFM, or advisory environment
Practical experience conducting KYC/CDD reviews
Good understanding of UK AML regulations and FCA expectations
Strong attention to detail and ability to follow processes consistently
Ability to identify risks and escalate issues appropriately
Well-organised with the ability to manage routine reviews effectively
Clear written and verbal communication skills
Familiarity with ongoing monitoring and periodic review processes
Progress towards, or interest in, a professional compliance qualification (e.g. ICA)
Exposure to a broad compliance function within a regulated investment firm
Structured development into wider compliance responsibilities
Support for professional development and training
Hybrid working 3 days a week in our London office
Pension 6% employer contribution, minimum 2% employee contribution
Private Health Insurance
Business and Personal Travel Insurance
Medicash Cashplan
Life Assurance – 4 x base salary
28 days annual leave plus bank holidays
Paid sick leave
Enhanced paternity/maternity/adoption leave
Greater London, England, United Kingdom (Hybrid, Full-time)
Collaborative: We listen, communicate, and work together to achieve shared goals.
Innovative: We constantly seek new ways to push the boundaries and improve our solutions.
Supportive: We lift each other up, creating an environment where everyone can grow and succeed.
Flexible: We adapt to the evolving needs of our team and clients, ensuring work-life balance and effective outcomes.
Trustworthy: We build trust through consistency, transparency, and delivering on our promise
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