Your career at Deutsche Börse GroupYour Area of WorkWe are seeking a highly experienced and strategic senior Compliance Officer VP level to lead and drive complex compliance initiatives across the Fund Centre segment which spans across various locations and legal entities. The role is responsible for managing regulatory change, implementing enterprise wide compliance programs and ensuring the organization meets all applicable regulatory obligations across various compliance topics (AML, Sanctions, cross border, etc.). The ideal candidate will bring wide compliance expertise, deep project management expertise and comprehensive understanding of compliance frameworks within funds environment.The successful candidate will bring a deep understanding of custody and distribution operations, end-to-end compliance lifecycle management, regulatory and process change implementation in a global environment.Your ResponsibilitiesLead and oversee compliance initiatives, frameworks and programs, including regulatory implementation, remediation efforts, risk mitigation initiativesDesign and execute compliance strategies that promote adherence to laws and regulations, including operational controls and documentation standardsDrive continuous improvements in compliance processes, project governance and compliance risk management strategiesLead and deliver high impact AML and financial crime initiative across segment taking into account regulatory requirements of various jurisdictions within the segment.Act as a subject matter expert on AML, financial crime and sanctions for the segmentDevelop and implement quality assurance frameworks for compliance related to AML, financial crime and other topicsLeading corrective initiative stemming from audit reviews related to AML, financial crime and sanctions related to segmentPrepare and present executive level project updates, risk assessments, and compliance status reports to senior management and governance committeesProvide advice to the 1st Line of defence on compliance related queries to cross border compliance regulatory requirementsImplement compliance training plan for full segment focusing on AML, financial crime and sanctionsMentor junior team members and contribute to compliance culture across the wider organizationManage full project lifecycle: scoping planning, resourcing, budgeting, execution, monitoring and reportingServe as a liaison between other compliance teams, legal, risk, IT and business linesAct as support and advisory assistance to first line of defence employees and management for any question related to any of the project within the remit of the Unit;Your ProfileMinimum 8 years of experience in Compliance and/or regulatory change management within financial institution or similar (AIFM, UCITS ManCo, MiFID II, 6th AML Directive)University degree in Law, Business, Accounting or Finance related areaProven experience delivering compliance projects in high risk areas e.g. AML, sanctions screening and financial regulationAn understanding of MiFiD, AIFMD, UCITS and AML Fund legislationStrong understanding of the investment funds market, custody services, securities operationsDemonstrated ability to work in fast paced matrixed environment managing multiple concurrent initiativesStrong communication and negotiation skills (internally and externally), including ability to present complex matters in a clear and comprehensive wayStrong analytical and conceptual skills, creativity, critical thinking, as well as ability to identify problems and propose solutionsHigh degree of professionalism and the ability to independently complete complex projectsAbility to identify problems and propose solutionsProficiency in written and spoken English; proficiency in any other languages would be an additional benefitTeam player, able to work independently on complex matters/ projects.Strong individual initiative, the ability to work well in a team that may include representatives from a range of business areas, and different locationsAbility to self-manage workload with a positive approach