Inserat online seit: 16 Juni
Aufgaben der Stelle
Compliance Officer – Banking & Asset Servicing
The Team:
The compliance team is in charge of:
Identifying, mapping and assessing the impacts of new regulations on financial services
Building and conducting a monitoring plan on an annual basis
Providing advisory to the business on regulatory topics
Coordinating and following-up on correspondence with competent authorities in Luxembourg and across branches
Reporting to governance forums and competent authorities on compliance topics
The entity is a credit institution supervised by the Commission de Surveillance du Secteur Financier in Luxembourg. It provides custody, depositary fund administration and capital markets services, and is also preparing an extension of its scope of services to banking during the course of 2026.
Key Responsibilities:
Timely and accurate completion of the compliance program in line with the Global Compliance Framework for regulations other than AML/CTF, including:
Map of Rules
Compliance Risk Assessment (CRA), including answers to Corporate Compliance quality check questions
CRA actions formalisation and tracking
Coordination of the performance of the monitoring plan by the compliance team
Performance of certain parts of the compliance monitoring plan
Monthly consolidation of the reporting on complaints
Alert and deliver consultancy-style service to partners, including branches, as well as to other compliance or business partners across the group, in regards to Luxembourg regulation other than AML/CTF:
Attendance to relevant business or project steering committees, or ad hoc meetings
Answer specific requests per email or memorandum
Review and require when necessary enhancements to e-training modules, or provide ad hoc trainings if necessary
Control that the 1st Line of Defence has:
Understood the regulatory requirements
Taken ownership and set adequate resources for adapting its operational processes and related 1st Line controls
Committed to corrective actions on eventual gaps and delivers on time
Taken note at the executive level of eventual slippages on corrective actions
Skills & Qualifications:
At least 6 years of experience in the compliance area in the banking or asset servicing industry in Luxembourg
Understanding of Custody, Depositary, Transfer Agency, Fund Accounting, Capital Market services and sound bank governance
Experience in compliance governance, reporting and oversight, including presenting to and engaging with senior internal and external stakeholders
Self-motivated with the ability to operate independently or as part of a team
Effective time management
Very good written skills with an ability to prepare succinct risk reporting
Well-developed verbal communication skills with an ability to effectively present and contribute in business meetings and risk forums
Please send your application including a cover letter and a detailed C.V. to cv@blackridgegroup.com or contact us directly at +352 20 61 04 for more information. Your application will be handled in strict confidence.