About the role:
You will be part of a respected Risk and Compliance team that fosters a culture of compliance across the business to identify, assess, and adequately mitigate regulatory compliance risks effectively. You will undertake a range of monitoring reviews from initial scoping, sample testing and reporting, to support compliance with our policies and procedures across different jurisdictions relating to combatting financial crime and adherence to data protection, law society rules and other relevant regulatory obligations. You will have the satisfaction of following through on your reviews by drafting reports on the outcome of the monitoring activity, including the findings/observations, and tracking them through with the business stakeholder until remediation. Input on recommended enhancements to our policies, procedures or our reviews is welcome.
About you:
- Proven experience working in a Client Administration, Compliance, Risk, or operational control- type function within a regulated Financial Services Business and relevant compliance qualifications.
- Demonstrable knowledge of AML regulations in Jersey and/or Guernsey, Cayman, BVI, HK and UK.
- Work well independently and pro-actively take ownership for own workload to meet deadlines while follow the team program.
- Ability to learn different business systems and processes to effectively test the relevant policy and procedure.