- Full Time
- Ref: 13841
Our client within the Fiduciary sector is looking to hire a Compliance Officer to ensure that the activities of the company’s entities are undertaken in accordance with the regulatory and statutory requirements, and in accordance with Group procedures.
This role will involve providing reports on a regular basis to the board as appropriate, preparing the companies “risk and compliance” report and presenting to directors at local boards and governance meetings. Revising policies and procedures for the general operation of the compliance program and its related activities to prevent illegal or improper conduct, and managing the day-to-day operation of the program.
The ideal candidate will a need minimum of five years’ experience in a Compliance and/or regulatory role, knowledge and experience of the alternates market in financial services, particularly with financial services laws, regulations and standards. Please contact Reece for more information.
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