Job Purpose
This is an excellent opportunity for an ambitious candidate to contribute to the growth of a leading management company in Ireland.
Key Responsibilities
* Update policies and procedures in line with Central Bank of Ireland guidance and regulatory developments.
* Compile and review monthly compliance reports and KPIs for internal stakeholders.
* Collaborate with service providers, partners, and internal teams on fund governance.
* Support operational and fund risk functions, including RCSAs, risk registers, and incident reporting.
* Review NDAs, service agreements, and rebate contracts.
* Assist with European regulatory compliance and support sales meetings and due diligence sessions.
* Review marketing materials for regulatory compliance.
* Provide compliance and regulatory support across European jurisdictions.
* Support ETF documentation and updates, including prospectuses and KIID/KID documents.
* Liaise with external counsel and clients for ETF/ETC documentation.
* Provide secondary support to the ETC platform.
Requirements
* 1-4 years' experience in legal, compliance, or asset management roles.
* Strong knowledge of compliance, fund operations, and project management.
* Interest in product development and exchange-traded products.
* Ability to work independently and manage cross-functional projects.
* Strong attention to detail and drafting skills.
* Excellent organisational and interpersonal abilities.
* Able to work under pressure and meet deadlines with a pragmatic, solutions-driven mindset.