about the company
Our client is a Financial Institution recognized for its robust risk culture and strong market presence across regional markets. They are hiring for a Compliance Officer to ensure compliance with regional AML/KYC regulatory frameworks.
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about the job
- Direct client onboarding workflows, ensuring rigorous background checks, risk evaluations, and source of wealth verification.
- Facilitate the annual enterprise-wide risk assessment framework, contributing to methodology updates, narrative reports, and strategic risk treatment plans.
- Execute ongoing transaction monitoring, lead complex financial crime investigations, and manage mandatory reporting workflows including FATCA and CRS requirements.
- Coordinate regulatory inquiries, internal audits, and independent reviews while leading remediation initiatives to strengthen the control environment.
- Lead dedicated compliance projects and deliver continuous risk awareness training across business units to uphold operational standards.
skills and experience required
- Minimum 5 years of hands-on experience in financial compliance, with targeted expertise in onboarding and due diligence of high networth individuals.
- High proficiency in verifying complex ownership structures, client profiles, and source of funds documentation.
- Demonstrated ability to collaborate with senior internal stakeholders and provide pragmatic risk advisory support.
To apply online please use the 'apply' function, alternatively you may contact at .
(EA: 94C3609/ )