AvaTrade is a leading global investment firm, authorised and regulated under MiFID II. We provide innovative online trading solutions to clients across Europe and beyond. From our European headquarters, we uphold the highest standards of legal and compliance excellence as we continue to grow in the regulated financial services sector.The Role We are seeking a Corporate Legal Executive to support both our Chief Compliance Officer and Legal Team. This is a key support role within our Legal and Compliance team, focused on maintaining robust regulatory standards and fostering a strong compliance culture throughout the organisation.This position is ideal for a legal professional with at least 2 years’ experience - preferably gained in a law firm or corporate legal department - who is eager to build their expertise in financial regulation and compliance within an authorised MiFID II investment firm.Responsibilities· Assist in drafting and updating policies and procedures in accordance with MiFID II and other regulatory requirements for investment firms.· Support the preparation of reports and documentation for compliance committees, board meetings, the Central Bank of Ireland, the CSSF, senior management, and other regulatory stakeholders.· Provide legal and compliance support to the Chief Compliance Officer and Legal Team, ensuring timely and accurate regulatory responses.· Help promote a strong compliance and legal culture within the firm by supporting best practices and regulatory awareness.Skills and Competencies· Strong analytical skills with the ability to interpret and apply complex regulatory requirements in a practical, business-focused manner.· Highly organised, able to manage multiple priorities and respond promptly to both routine and urgent compliance matters.· Collaborative team player who can also work independently and respond constructively to guidance and feedback.· Exceptional attention to detail and a proactive, solutions-oriented approach.· Professional and positive attitude, with a focus on achieving compliance and legal objectives.Qualifications & Experience· Relevant third-level degree, ideally with a focus on Law, Compliance, or Financial Services.· Minimum 2 years’ experience in a law firm or corporate legal department, preferably with exposure to financial services regulation.· Familiarity with MiFID II, Market Abuse Regulation, Client Asset Requirements, and the broader regulatory landscape for Irish investment firms is highly advantageous, though not essential. Experience with cross-border regulatory matters is also beneficial.
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