Senior AML Compliance Officer at Ampa Group Careers
Ampa Group Careers · Birmingham, United Kingdom · Hybrid
- Senior
- Office in Birmingham
- A Crucial Role in Protecting the Business: Join a forward-thinking legal and professional services group where you’ll play a vital part in safeguarding our regulated and unregulated brands through expert risk and compliance leadership.
- Autonomy and Influence: Shape how we manage financial crime risk across the business. Bring your expertise, drive best practice, and take ownership of core AML and regulatory compliance processes.
- Collaborative, Multi-Disciplinary Culture: Work closely with the AML Manager, senior Compliance leaders, and colleagues across the Risk & Compliance function, with opportunities to mentor and develop junior team members.
- Career Growth & Specialism: You’ll gain exposure to complex financial crime matters, regulatory engagement, audits, and business-wide projects, with support to further develop your AML and compliance expertise.
Key Responsibilities
- Lead on Financial Crime Compliance: Drive AML, sanctions, CDD/KYC, and client onboarding processes across the business, ensuring best practice and adherence to regulatory standards.
- Maintain and Enhance Controls: Support the design, review, and ongoing improvement of policies, procedures, and practice-wide risk assessments.
- Complex Query Resolution: Act as a subject-matter expert for AML, sanctions, conflicts, and SRA regulatory requirements, handling complex and high-risk onboarding queries.
- Monitoring, Reporting & Investigations: Track compliance issues, prepare reports, conduct file reviews, and lead internal audits and investigations.
- Regulatory Engagement: Assist in responding to regulatory enquiries and liaise with bodies such as the SRA.
- Training & Guidance: Draft compliance bulletins and advice notes, and deliver training across the business to ensure high standards and awareness.
- Audit Support: Support internal and external audits, including those carried out by clients, suppliers, and regulators.
- Business-Wide Collaboration: Contribute to cross-group projects, including new technologies, changes in legislation, and process improvements.
- Horizon Scanning: Stay informed on financial crime trends, regulatory developments, and best practice affecting the legal sector.
- Stakeholder Engagement: Attend internal and external networking events and present as required.
Skills, Knowledge & Expertise
- Strong experience in AML, sanctions, and financial crime compliance within a UK law firm or similar regulated environment.
- Solid understanding of SRA Standards & Regulations, Money Laundering Regulations, Proceeds of Crime Act and LSAG guidance.
- Experience managing internal investigations and responding to regulatory enquiries.
- Able to work independently, prioritise effectively, and manage multiple compliance tasks.
- Excellent written and verbal communication skills, with sound professional judgement.
- Collaborative and approachable, able to engage confidently with stakeholders at all levels.
- High attention to detail and commitment to ethical, compliant working practices.
- Comfortable using a range of IT systems and platforms.
- 3+ years’ experience in AML or compliance roles within a law firm.
- Qualified solicitor or experience within an in-house Risk & Compliance team.
- Professional AML qualification (e.g., ICA AML Diploma or Advanced Certificate).