Our client, a company specialised in audit and regulatory consulting with experience in the field of regulated audits and outsourced compliance consulting, is looking for a Compliance / Risk Control Specialist with several years’ experience in the financial services industry, primarily to provide risk management and compliance consulting services to regulated fund managers or asset managers.
Your profile :
- Legal background or experience.
- Recognized expertise in compliance and risk management, particularly in the area of collective investment schemes.
- Proven experience working with regulators such as FINMA, supervisory organizations, or within hedge funds in Switzerland.
- Ability to work autonomously with a strong sense of responsibility.
- High standards for service quality and professionalism.
- Excellent organizational skills, with the ability to work under pressure and meet deadlines.
- Client-oriented approach within a team-driven environment.
- Fluent in English and French, other languages such as German or Italian is a plus.
- In-depth knowledge of relevant laws and regulations (AMLA, FIDLEG, FINIG, AMAS Directives, FINMA Circulars).
What our client has to offer :
Varied and interesting activity in a professional and growing environment;The chance to deepen professional knowledge in asset management, including new challenges (FinIA / FinSA / ESG / FinTech);The chance to develop tools to assist in the delivery of their solutions;Opportunity of continuous professional development;Flexible working hours / work percentageOpportunity to work remotely at times;Remuneration commensurate with skills and competences;The possibility to be part of a team committed to the long term.Only short-listed candidates will be contacted. Many thanks for your understanding.