Are you an experienced, forward-thinking and solutions driven trust professional, looking for a new and exciting challenge in a stimulating work environment?
In this varied and challenging role within a global asset management organisation, you will be encouraged to take a hands-on approach and will have freedom to innovate whilst benefiting from the support of a dynamic and value focused team culture.
Being part of the trust department you will have shared responsibility for all statutory matters, regulatory filings and tax return filings. You will be expected to utilise your new business take-on and/or closings experience and be familiar with the requirements of the AML Handbook and Money Laundering (Jersey) Order 2008, in particular relating to KYC/CDD.
Responsibilities will include:
Managing a complex portfolio of trust and company clients
Ensuring compliance with regulatory, risk and procedure requirements at all times
Developing relationships with clients, intermediaries, prospective clients and other professional advisors, travelling to meet contacts where necessary
Acting as ‘B’ signatory
Providing assistance to the Director, including managing operational projects
Experience and skills required:
Experience in a trust and company business environment or similar role
Knowledge and/or experience of company secretarial and corporate governance, statutory filings in multiple jurisdictions and regulatory reporting obligations
Extensive experience of using/populating NAVOne
Strong organisational and administrative skills
Ability to work accurately under pressure
People management experience
We are an equal opportunity employer and value diversity at all times.