Purpose of the role:
The role provides high-quality administrative support, coordinating day-to-day activities and maintaining accurate records to keep operations organised and compliant. It includes managing a portfolio of client entities, completing client and investor periodic reviews, supporting compliance monitoring and preparing reports for boards and regulators.
Responsibilities:
- Maintain accurate, up-to-date records with strong focus on data integrity and internal obligations.
- Conduct testing as part of Compliance Monitoring Programmes for regulated client entities.
- Prepare six‑monthly compliance reports for client entities for presentation at relevant board meetings.
Skills required:
- At least 2 years’ relevant finance industry experience within an offshore financial services organisation.
- Fair understanding of client administration and fiduciary services.
- Good knowledge and understanding of the local finance industry, legislation and regulatory requirements.