Our experienced team have over 12 years’ combined industry relevant recruitment experience across the capital markets sector.

The FourthLine Capital Markets Regulatory Change team consists of twelve extensively trained consultants solely focussed on the regulatory change within buy and sell side firms. Using our extensive network of industry experts, we have developed a core competency framework designed to ensure that we know what a good candidate looks like from our clients' perspectives.

We ensure through our periodic resource planning and ongoing horizon scanning of regulatory change and themes that we maintain an industry-leading portfolio of high quality candidates tailored to the market’s needs.

What to expect when you work with us

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Our Buy-Side practice was built on the overlapping Solvency II requirements between our Insurance clients and Asset Managers. We then expanded our service based on MiFID II, into other regulation, e.g. EMIR, SMCR, PRIIPs & CRD IV. 

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Our specialism and commitment to the Regulatory Change field allows us to build extensive, easily accessed candidate networks making us highly responsive.

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Our Sell-Side practice was created following the success of serving regulatory change initiatives such as MiFID II and PRIIPS for our Buy Side clients, enabling us to strengthen our service and reduce clients regulatory risk for changes such as SFTR, FRTB and BREXIT.

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We offer a program of industry best practice events on Regulatory Change and Strategy. These range from breakfast briefings to large scale round table events hosted by FourthLine in collaboration with industry leading SMEs.

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We can help with all Regulatory Change hires, working with you through the entirety of the hiring cycle, from the development of the job specification to the diligent embedding of candidates.

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We work with a variety of Buy and Sell Side clients giving candidates access to small scale start up firms through to the world’s largest Investment Houses.

*

Our Buy-Side practice was built on the overlapping Solvency II requirements between our Insurance clients and Asset Managers. We then expanded our service based on MiFID II, into other regulation, e.g. EMIR, SMCR, PRIIPs & CRD IV. 

*

Our specialism and commitment to the Regulatory Change field allows us to build extensive, easily accessed candidate networks making us highly responsive.

*

Our Sell-Side practice was created following the success of serving regulatory change initiatives such as MiFID II and PRIIPS for our Buy Side clients, enabling us to strengthen our service and reduce clients regulatory risk for changes such as SFTR, FRTB and BREXIT.

*

We offer a program of industry best practice events on Regulatory Change and Strategy. These range from breakfast briefings to large scale round table events hosted by FourthLine in collaboration with industry leading SMEs.

*

We can help with all Regulatory Change hires, working with you through the entirety of the hiring cycle, from the development of the job specification to the diligent embedding of candidates.

*

We work with a variety of Buy and Sell Side clients giving candidates access to small scale start up firms through to the world’s largest Investment Houses.

Get in touch with our Regulatory Change – Capital Markets team
Gareth Foulkes

Principal Consultant

0203 800 1548
Get in touch with our Regulatory Change – Capital Markets team
David Croft

Head of Practice - Capital Markets

0203 800 1568

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