We have a current opportunity for a Head of Risk & Compliance EMEA on a permanent basis. The position will be based in LONDON. For further information about this position please apply.
The working environment is nice and flexible, with focused reporting lines. We are looking for someone that can come into the role with a pragmatic and strategic approach.
This is a great chance to join a successful organisation, where you can really make a difference and have an impact. A proactive, influential, and collaborative approach will add significant value to the role.
The role
You will lead a team of standalone professionals across both Risk and Compliance teams for EMEA, covering:
1. Financial Crime
2. Regulatory Change
3. Risk
4. Monitoring
Key responsibilities include:
1. Working with key stakeholders across the business and building relationships with the 1LoD.
2. Promoting and building a culture of risk awareness within the Group.
3. Identifying new risks and regulatory matters potentially affecting the Corporate market across EMEA.
4. Confidently and efficiently presenting to the board while building internal relationships.
5. Coordinating effectively within the organization.
Minimum Requirements
Previous experience in an SMF role is essential.
Ideally, candidates should come from a mid to smaller-sized Financial Services organisation, such as Asset, Investment, or Fund Management.
Strong verbal and written communication skills are necessary, with an engaging ability to deliver compliance and risk-related information.
Strong resilience and a tenacious mindset to succeed, along with a hands-on approach and strategic mindset, are crucial for this role.
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