Compliance Officer

Open 70d

The position the Regulatory Compliance Officer supports the Regulatory Compliance function in ensuring adherence to Swiss regulatory requirements applicable to Private Banking, with a focus on Market Conduct, FIDLEG, Cross-Border activities, Third Parties oversight and Client Tax compliance (FATCA/CRS).

Key Responsibilities

Market Conduct

  • Monitor employee personal account dealing and staff transactions.
  • Support surveillance activities related to market abuse and conduct risk.
  • Contribute to conduct-related reporting and control testing.

FIDLEG / FINSA

  • Support client classification and reclassification processes (opt-up/opt-down).
  • Review client transactions/documentation to ensure compliance with duty of information, suitability requirements.
  • Assist in monitoring best execution and conflict of interest frameworks.
  • Provide regulatory guidance to Front Office on FIDLEG-related matters.

Cross-Border

  • Assess cross-border implications in client onboarding and account maintenance.
  • Support review of employee travel activities and cross-border servicing restrictions.
  • Maintain cross-border country guidelines and provide regulatory advice.

Third Parties & Client Tax

  • Support outsourcing and vendor arrangements from a regulatory perspective.
  • Assist in FATCA and CRS oversight, mainly documentation reviews and ongoing monitoring.
  • Contribute to regulatory reporting and remediation processes where required.

Reporting Committees

  • Assist to prepare reports, KRIs and other indicators to the regulatory compliance committees.

Qualifications & Special knowledge and skills required:

      • Minimum 3-5 years experience in Compliance functions within Private Banking
      • Experience with regulatory projects
      • FATCA, CRS related experience is an assets
      • Excellent Microsoft Office skills
      • Knowledge of Latin American markets is an asset
  • Knowledge of Swiss regulatory framework applicable to Private Banking & wealth management
      • Knowledge of financial products and regulatory requirements
      • Team player and pro-active, willing to take responsibility
      • Suits well in an international environment
      • Strong intercultural and interpersonal skills
      • Seeks to join the collaborative working environment of a dynamic international team and to share experience acquired to excel as a team
      • Exceptional communication skills
      • Very Good interpersonal relationship
      • University degree in Law or Business Administration or relevant experience by means of a Banking education with additional Compliance focused certifications
      • Compliance Degree (DAS or similar)

See also

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