A Dublin-based Wealth Management Firm seeks an experienced Head of Compliance to lead its regulatory function. The ideal candidate has extensive compliance experience within MiFID-regulated firms, strong technical knowledge of Irish and EU regulations, and excellent communication skills. Responsibilities include managing interactions with the Central Bank of Ireland, maintaining MiFID-compliant policies, and leading the Compliance Monitoring Programme. The role is based in Dublin, with a hybrid work model: 3 days in-office and 2 days remote.
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