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Sector:
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Job type:
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Salary/Rate:
Negotiable
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Contact:
Remi Simon
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Contact email:
rsimon@skillfindergroup.com
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Job ref:
19030USER_86
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Consultant:
Remi Simon
A dynamic and independent asset management firm, part of a well-established financial group, is seeking to strengthen its team by hiring a Chief Compliance Officer (CCO). With over 30 years of experience, the company focuses on adding value to its clients’ investment portfolios through disciplined investment strategies and expert knowledge in estate planning. Managing approximately 9 billion euros in assets, the firm employs around 140 professionals.
Responsibilities:
- Define and implement compliance objectives, ensuring adherence to legal and regulatory requirements (AML/CFT, MiFID II, GDPR, etc.).
- Conduct an annual Compliance Risk Assessment and develop the Compliance Monitoring Plan.
- Advise senior management and collaborate with operational teams on compliance matters.
- Manage client acceptance, incidents, complaints, and compliance projects.
- Lead a compliance team of 3 professionals and ensure timely reporting to authorities.
- Stay updated on regulatory changes and oversee governance within the group.
Qualifications:
- Master’s degree in Law, Economics, or Finance.
- 10+ years of compliance experience in investment firms or banking institutions.
- Ideally, previous experience as a Chief Compliance Officer in Luxembourg or Belgium.
- In-depth knowledge of financial regulations (AML/CFT, MiFID II, GDPR, etc.).
- Strong leadership and communication skills, fluent in French and English (Dutch is a plus).
- Structured, proactive, and a team player with excellent problem-solving abilities.
If you are a skilled and proactive compliance professional with a solid track record in financial services, we would be delighted to receive your application.