Purpose of the role:
Working within a Risk & Compliance function, this role presents an exciting opportunity to support group-wide compliance driven activities in accordance with regulatory requirements and in-line with industry best practices and professional standards.
Responsibilities:
- Assist with the development of the annual Group Compliance Monitoring Programme to assess the effectiveness of group policies and procedures
- Assist with the coordination of detailed monitoring reviews in accordance with the Group Compliance Monitoring Programme, liaising with key stakeholders as appropriate
- Assist with documentation and reporting of monitoring reviews to relevant Boards
- Assist the completion of 'second line' tests of operational 'business as usual' areas, all of which are focused on ensuring core business activities are being undertaken in the appropriate way and aligned to regulatory needs
- Assist in identifying, assessing, monitoring, managing and mitigating money laundering and financing of terrorism risks
Skills required:
- A minimum of 3 years of relevant experience in a compliance function
- Good understanding of regulatory requirements affecting a law firm and trust company business in the Channel Islands
- Experience of refreshing and administering a Compliance Monitoring Programme in line with the changing risks and regulatory environment
- Holding or working towards a relevant compliance-related qualification
- Knowledge and understanding of various trust and company structures and AML/CDD requirements