Key Responsibilities: Serve as a senior advisor on regulatory and compliance matters for leadership and internal teams Evaluate and improve existing compliance frameworks, identifying opportunities to optimise efficiency Contribute to the development, implementation, and ongoing maintenance of compliance policies, procedures, and internal controls Ensure regulatory approvals and authorisations remain aligned with business activities and strategic objectives Lead compliance monitoring, testing, and oversight initiatives across the organisation Experience & Skills: 8+ years of experience in compliance within asset or investment management Solid knowledge of European regulatory frameworks, including AIFMD and MiFID; familiarity with UCITS is an advantage Prior interaction with EU regulatory authorities (e.g., CBI, CSSF) is beneficial Understanding of private market investment structures, including pooled funds and segregated mandates Demonstrated ability to interpret regulatory changes and implement practical policies and controls Strong analytical, communication, and stakeholder management capabilities