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Define, update, and implement the firm's compliance strategy aligned with business and regulatory needs.
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Manage and mentor the Compliance team to achieve operational excellence.
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Represent the Compliance function at executive and leadership committees.
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Ensure full regulatory compliance with Luxembourgish and European Union standards.
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Maintain strong relationships with regulatory authorities such as CSSF, IRE, and OEC.
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Act as Acceptance Officer, conducting compliance risk assessments and participating in Client Acceptance Committees.
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Oversee the firm's AML/CTF, independence, and ethics programs, and serve as the firm's Money Laundering Reporting Officer (MLRO).
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Investigate compliance breaches and coordinate remediation activities.
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Draft, update, and enforce internal policies and deliver compliance training firm-wide.
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Prepare and deliver reports for senior management, regulatory authorities, and the Group.
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Master's degree in Law, Business Administration, Economics, or related fields.
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Professional certification such as CAMS or qualification as a réviseur d'entreprises is preferred.
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Minimum 10 years of compliance experience in audit, consulting, or financial services.
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Deep understanding of Luxembourg regulations, particularly AML laws.
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Strong leadership skills with a strategic mindset.
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Excellent communication skills in English and French.
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High integrity, discretion, and sound judgment are crucial.
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Strategic leadership role within a major firm.
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Continuous professional development and career advancement opportunities.
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Competitive salary package and benefits.
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Exposure to high-level regulatory work in an international environment.
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Direct collaboration with regulatory bodies and executive leadership.