Our global client is seeking an experienced professional to lead Risk & Compliance within the Trust and Fund departments at their Jersey office.
The Head of Risk & Compliance is responsible for developing and executing the Risk and Compliance strategy across the business. In this role, you will hold key regulatory appointments where required, provide assurance to the Board, regulators, and stakeholders that risks are properly identified and managed, and lead a cohesive risk and compliance framework across multiple jurisdictions. To excel in this position, you will hold an ICA Diploma (or equivalent), ACAMS, or another relevant qualification, and have extensive experience leading Risk and Compliance functions within Trust and Fiduciary services and/or Fund administration. A deep understanding of AML/CFT frameworks and corporate fiduciary governance is essential.