Shape the future of compliance in a leading financial a key role in regulatory projects and compliance monitoring.
À propos de notre clientOur client is a Luxembourg-based private bank specializing in private banking, wealth management, and investment funds. With operations in Luxembourg and London, they serve both corporate and private clients, offering tailored financial solutions.Assist in identifying compliance risks and conduct gap analyses.
-Participate in projects implementing regulatory developments.
-Oversee MiFID, Market Abuse, and cross-border processes by performing compliance monitoring exercises.
-Conduct testing in coordination with relevant bank functions.
-Draft concise compliance monitoring memos.
-Manage alerts via the Bloomberg Transaction Cost Analysis system.
-Assist in preparing internal and external compliance reports.
-Liaise with internal and external parties on compliance matters.
-Profil recherché - University degree in business management, law, or equivalent.
-3-7 years experience in regulatory compliance within a bank or similar institution, with expertise in MiFID, Market Abuse, and cross-border regulations.
-Proficient in computer applications.
-Knowledgeable about European and Luxembourg financial laws and regulations.
-Strong written and verbal communication skills in English; proficiency in French is a significant asset.
Conditions et Avantages -Opportunity to work in a dynamic financial environment.
-Engagement in diverse compliance projects.
-Professional growth within a supportive team.