A vacancy has arisen for a professional to support the development and maintenance of global risk and compliance policies, ensuring alignment with legal and regulatory requirements across multiple jurisdictions.
The role involves close collaboration with internal legal, governance, and business control teams to analyse emerging regulations and implement policy updates accordingly. This includes working with departments such as HR and Finance to ensure cohesive compliance efforts, supporting the Compliance Monitoring Programme through policy control testing, and assisting with reporting and stakeholder queries. The ideal candidate will have experience in compliance, risk, or operational control within a regulated financial services environment, and a strong understanding of AML regulations and fiduciary services in jurisdictions such as Jersey, Guernsey, Cayman, and BVI. Strong analytical skills, the ability to work independently, and excellent written communication are essential, alongside a proactive and organised approach to managing multiple priorities.