Job Description
We are seeking a highly experienced Compliance Officer to lead our compliance function and ensure the highest standards of regulatory compliance.
This is a critical role that requires strong leadership skills, attention to detail, and excellent communication skills. The successful candidate will be responsible for managing the day-to-day activities of the compliance team and ensuring that all regulatory requirements are met.
The ideal candidate will have extensive experience in a compliance role, preferably in a financial services organization. They will have a deep understanding of regulatory requirements and be able to communicate complex information effectively to stakeholders.
The Compliance Officer will also be responsible for:
* Overseeing market abuse surveillance
* Managing Anti-Money Laundering, Counter Terrorist Financing, and Sanctions
* Determining when to file suspicious transactions with the Central Bank
* Providing oversight of engagement with the Central Bank and other regulators
Required Skills and Qualifications
To be successful in this role, you will need:
* At least 10 years' experience in a compliance role, preferably in a financial services organization
* Experience working with systematic internalisers, MTFs, Exchanges, or algorithmic trading tools (RTS 6)
* Deep knowledge of financial markets and the brokerage industry
* Comprehensive and up-to-date knowledge of market practices and their regulatory requirements
* A minimum of a 2:1 degree in a relevant field, such as Business, Law, or Economics
Benefits
We offer a competitive salary and benefits package, including:
* Generous remuneration package
* Health, life, disability insurance, pension, and 26 days holidays
* Annual bonuses
Others
We are committed to providing a positive and supportive work environment that fosters professional growth and development. If you are a motivated and experienced Compliance Officer looking for a new challenge, we encourage you to apply.