Description de poste
For one of our clients, an investment firm based in Paris, we are looking for a:
COMPLIANCE OFFICER - CAPITAL MARKET
Job description
- Provide compliance oversight and advisory support on client suitability, product eligibility, and business model alignment in accordance with MiFID II requirements.
- Ensure regulatory compliance with MiFID II, MiFIR, and MAR, including market surveillance activities.
- Oversee Anti-Money Laundering and Counter-Terrorism Financing matters at Group level, including the maintenance of policies, procedures, and risk assessments.
- Review and validate high-risk clients and complex cases, and ensure appropriate monitoring of existing client relationships.
- Support and coordinate AML/CFT training for Front Office staff.
- Maintain and continuously enhance the Compliance Monitoring Programme in line with Group standards and regulatory expectations.
- Perform regulatory watch, identify non-compliance risks, and contribute to risk measurement and control plan updates.
- Ensure proper integration of non-compliance risks into the overall risk mapping framework.
- Actively contribute to the digitalisation of compliance processes by leveraging automation and AI tools to improve efficiency and reduce low value-added tasks.
Required profile
- University degree or business school background in business administration, law, or finance.
- Minimum 10 years of experience in a Compliance role within an investment firm under AMF supervision.
- Strong ability to identify issues, analyse root causes, and propose pragmatic solutions.
- Solid business understanding and awareness of regulatory, risk, and control matters.
- Previous experience in audit is considered a strong advantage.
- Fluent in both French and English.
All files will be treated with the utmost confidentiality.