As a Compliance Officer (Investment Products), you'll ensure compliance with all applicable regulations, with a primary focus on MiFID II across all investment offerings. You'll play a key role in implementing and maintaining a robust Compliance Monitoring Programme, identifying, assessing, and mitigating compliance risks, and supporting regulatory reporting, interactions with regulators and auditors, and training programs for employees.
Requirements
- 3-5 years of compliance experience in a regulated financial institution, with hands-on exposure to MiFID II
- Regulatory knowledge, with experience working within a compliance framework
- Regulatory understanding of European regulations, including MiFID 2 and Luxembourg laws applicable to Investment firms
- Interest in fintech and investments, including virtual assets, with a strong understanding of technology-driven environments
- AML/CFT knowledge, including transaction monitoring and international financial sanctions
- Organizational skills, ability to work independently
- Curiosity and proactivity, drive to learn and take initiative
- Fluent in English, both written and spoken
- Excellent communication and writing skills, convey complex information clearly and concisely
Benefits
- Unlimited paid time off
- Flexible hybrid working system
- Extended parental leave
- Childcare leave
- Stock Option Plan
- International relocation support
- Competitive salary
- Meal vouchers
- Professional development programmes
- Internal mobility program
- Language classes with Preply
- Internal workshops & training
- Psychological support & mental health webinars with Serenis
- Health insurance
- Equal-Opportunity Employer