Our client is an independent and dynamic wealth management firm serving both private and professional clients. With offices in Belgium and Luxembourg, the company provides tailor-made solutions in wealth management and estate planning.
Functieomschrijving
* Perform second-line compliance controls to ensure adherence to internal and external regulations (AML, KYC, MiFID II, GDPR, sanctions, CRS en FATCA).
* Support the Chief Compliance Officer with day-to-day compliance operations.
* Advise employees on compliance and legal matters.
* Contribute to a strong compliance culture through knowledge sharing and best practices.
* Create and maintain training materials, e-learning courses, and compliance assessments.
* Draft and update policies and procedures in line with current regulations.
* Monitor changes in regulatory frameworks affecting the financial industry.
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Profiel
* Background in law or business, with a strong interest in regulatory and legal topics.
* At least 5 years of experience in a compliance role within the financial sector, preferably within wealth management.
* Compliance certification is considered a plus.
* Strong team spirit with the ability to work independently.
* High ethical standards and a strong sense of confidentiality.
* Fluent in English and French or Dutch.
* Detail-oriented and results-driven.
Aanbod
* A competitive annual salary plus a comprehensive benefits package.
* A stimulating work environment within a growing organization.
* Opportunities for career advancement and professional growth.
* Flexible working arrangements and a good work-life balance.