Join a premier financial services company operating in the Channel Islands, where developing unique and value-for-money products along with quality customer service is always at the forefront of the business. In this role you can expect to be supported in reaching your full potential and rewarded for your dedication with a competitive benefits package.
This commercial business is looking for a self-motivated and team spirited compliance professional, with the ability to delegate workload and meet tight deadlines to be part of their friendly and inclusive working environment.
In this role you will ensure the company and its employees complies with all regulatory requirements and internal policies. Working with the compliance team you will create, amend and implement policies and procedures to mitigate risk of the company breaking laws and regulations.
Responsibilities will include:
Ensuring the company always complies with all laws and directives from the relevant jurisdictional regulatory authorities
Keeping up to date with regulatory requirements in the relevant jurisdictions
Working with the compliance team to compile and revise policies and procedures for the Group as required
Providing suitable AML/CFT/compliance training for all staff members
Deputising for the point of contact with the Financial Intelligence Service (FIS)
Recording and reporting suspicious activities
Experience and skills required:
Desire to learn or undertake a compliance and AML/CFT qualification or willingness to work towards
Proven experience of undertaking risk assessments
Ability to undertake comprehensive audits and assimilate all data
A strategic awareness of industry rules and regulations
Excellent interpersonal skills with the ability to deal with enquiries at all levels
Ability to work with minimal supervision and make decisions where necessary
We are an equal opportunity employer and value diversity at all times.