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Risk, Regulatory and Compliance
Cameron Kennedy’s specialist Risk Management team connects organisations with top talent across the risk spectrum.
In today’s complex financial landscape, effective risk management has become a cornerstone of organisational stability. Our consultants identify exceptional professionals from junior analysts to C-suite executives who excel at developing robust frameworks that align with both regulatory demands and business objectives.
We source candidates with proven expertise in risk assessment methodologies, appetite setting, and implementation of sophisticated monitoring systems. Our professionals bring specialised skills in quantitative analysis, stress testing, and scenario modeling to ensure accurate risk measurement and informed decision-making across all risk categories.
Cameron Kennedy’s Compliance division delivers recruitment solutions across all seniority levels, from graduates to Global Compliance Directors, on permanent, temporary, and contract bases.
Our strong market presence allows us to provide specialised staffing across the financial spectrum, including investment banking, asset management, stockbroking, trading, banking, fintech, and insurance sectors.
Our consultants combine technical expertise with a professional approach, giving them a specialist edge that enables more efficient and effective recruitment compared to competitors. This recognised methodology has established our partnerships with global brand names and blue-chip organizations worldwide, cementing our enviable reputation for compliance recruitment excellence within the industry.
Cameron Kennedy’s Regulatory Intervention team provides access to specialists who excel in both prevention and response strategies.
We source professionals who implement proactive compliance management and risk mitigation frameworks designed to identify potential issues before they trigger regulatory action. Our candidates bring expertise in preventing costly and disruptive interventions by maintaining robust compliance oversight and early warning systems.
When interventions do occur, such as the FCA’s Section 166 independent assessments, our specialists offer the critical expertise needed to lead effective responses. We identify and place professionals who can implement corrective measures, resolve identified issues, and realign operations with regulatory standards, helping organisations navigate complex regulatory challenges with confidence.
Specialist roles we recruit include:
- CROs
- Directors
- Managers
- Operational Risk
- Enterprise Risk
- Financial Risk
- Credit Risk
- Market Risk
- Investment Risk
- Regulatory Risk Managers
- Resilience
- Compliance Director / CCO
- Head of Compliance / MLRO
- Compliance Offciers/Executive / Analyst / Assistant
- Compliance Monitoring
- Compliance Advisory
- Compliance Policy
- Financial Crime Prevention and Anti-Money Laundering
- Client On-Boarding,CDD, KYC, Training and Competence
- Regulatory Change & Affairs
- Client Assets and Conduct of Business
- Control Room/ Surveillance
- S166 Specialists
- Regulatory Compliance Advisors
- Risk Consultants
- S166 Report Managers
- Regulatory Affairs Managers
- Compliance Officers
- Risk and Compliance Strategists
- Senior Regulatory Consultants
- Regulatory & Risk Framework specialists
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