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Savills Investment Management (Savills IM) is an international real estate investment management firm which is majority owned by Savills plc, the global real estate services group. The firm has over 30 years’ experience, with over 300+ staff employed in 15 locations across 12 countries in Europe and Asia.

We provide highly customisable access to quality real estate through equity or debt, in jurisdictions where our proprietary deal sourcing and speed of execution can make an outsized contribution to the pursuit of superior risk-adjusted returns.

Working at Savills IM

We are a people business, relying on our people for their expertise, skills and judgement. We look for a bright, diverse workforce, one that is forward looking, entrepreneurial in spirit and is passionate about creating sustainable future for our planet.

Programme information

You will join Savills IM as part of the Investment20/20 programme. The Investment20/20 programme has over 60 investment management member firms and has supported over 2,000 young people to start their career in the industry.

As a Junior Compliance Analyst you will be introduced to regulatory compliance in investment management and you will gain industry knowledge, experience and develop relationships to progress your career and develop skills to secure a permanent role. As part of the Investment20/20 programme, you will have opportunities to meet and network with over 300 trainees across the industry and participate in socials and insight events.

Our programme is a 12-month fixed term contract with a competitive salary of £30,000 and you will receive 25 days annual leave. This role is based in London with a hybrid approach of 4 days in the office and 1 working from home.

The team

As a regulated financial services firm, Risk and Compliance sits at the heart of how we do business. The team helps ensure that we comply with all applicable regulation and operate with sound judgment and robust governance across the firm. By proactively identifying and managing risks, and by guiding the firm through an evolving regulatory landscape, Risk and Compliance supports strong decision-making, good conduct, and long-term success. Far from being a “tick-box” function, the team is a trusted partner to the business, helping to protect our reputation, our investors, and our culture.

As a Junior Compliance Analyst, you will join a team of 4 people in London, with a wider global team across the group.

Responsibilities

You will gain a broad experience of the core functions of Risk & Compliance and will be responsible for:

  • Helping operate FCA compliance processes, controls, and regulatory reporting, and contributing to the compliance monitoring programme
  • Assisting with the development and maintenance of Group compliance policies, procedures, and registers across jurisdictions
  • Reviewing financial promotions and contributing to the firm’s SMCR (Senior Managers and Certification Regime) obligations
  • Tracking and helping interpret regulatory changes, and supporting their implementation across the business
  • Contributing to the review and remediation of compliance issues and breaches, working alongside compliance, business, and risk teams
  • Assisting with DDQ (Due Diligence Questionnaire) completion, third party service provider reviews, and compliance projects
  • Helping ensure effective compliance training is in place for all staff, plus any other reasonable requests to support the firm’s compliance obligations

Skills and requirements

If you are a graduate who has a keen interest developing a career in Compliance within financial services and has the following attributes, we are interested in hearing from you:

  • Confident written and verbal communication skills
  • An interest in regulatory compliance (primarily FCA)
  • Educated to degree level, or equivalent experience
  • Excellent attention to detail
  • Team player with a proactive approach to problem solving
  • Excellent organisational skills, able to manage priorities and work to tight deadlines
  • A ‘can do’ attitude to learning and enjoys developing new skills
  • An ability to ensure all tasks and sensitive information are handled confidentially
  • Good working knowledge of Outlook, Word and Excel

Key dates

  • Online applications close 30th July 2026
  • Start date: September 2026 or asap

Application process

If you are shortlisted for an interview, we will email you within one week of the closing date. The interview process will consist of 2 interviews (1 virtual, 1 in person) with various members of the Risk & Compliance team.

Unsuccessful candidates will be notified by email.