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Our client is a leading global provider of corporate, funds and private wealth services to both institutional and private clients.
The successful candidate will be expected to ensure that the Group has robust arrangements for complying with relevant regulatory requirements, maintain a Client Risk Review function and Registers. You will make a significant contribution to the team, holding responsibility and autonomy for leading the Central Risk and Compliance team in Jersey acting as the Compliance Officer and Money Laundering Compliance Officer for the Trust Company Business. Mentoring and training of more junior members of staff and supporting the Board of Directors in ensuring that regulatory requirements are met.
The right candidate will have a background in financial services regulation. The candidate will also have a high quality degree level education and a first class general academic track record. Professional qualifications are desirable.
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