Albany Beck is an award-winning consultancy specialising in Technology, Risk and Compliance primarily within Financial Services. We work with top tier Investment Banks, Asset Management firms, Hedge Funds and Fintechs
We're currently hiring for an exciting role onsite within a wealth management client in Ireland, this role can be based in either Dublin, Cork or Galway. Requiring 2 days a week in the office.
Advisory Team Specialisations:
* The advisory team is split into three key cohorts, each focusing on different areas of business:
* Corporate: Advise on corporate regulatory matters, with a focus on governance, compliance, and corporate finance.
* Retail: Specialise in the regulatory landscape impacting retail operations, ensuring consumer protection and alignment with market practices.
* Technical (Asset Management, IFR): Provide in-depth expertise on asset management and IFR-related regulations, focusing on technical compliance issues within this sector.
Responsibilities:
Advisory Team:
* Provide expert advice on business-related queries, interpret complex regulations, and assist in streamlining and enhancing internal processes to ensure operational efficiency and regulatory adherence.
* Act as a key resource for addressing regulatory challenges, offering strategic guidance, and supporting continuous improvement efforts within the business.
Technical Experience:
* Demonstrate a deep understanding of regulatory requirements and offer support to the business by providing detailed answers to complex queries.
* Leverage external industry knowledge and bring insights from other businesses to inform decisions and ensure the business remains competitive and compliant with evolving regulations.
Other Key Compliance Functions:
* Assurance & Monitoring Hub: Oversee and review compliance performance across the business, ensuring adherence to internal controls, policies, and regulations.
* MLRO (Money Laundering Reporting Officer) – 3rd Pillar: Handle matters related to anti-money laundering and ensure the organisation meets legal requirements related to financial crime prevention.
* Compliance Strategy & Regulatory Engagement – 4th Pillar: Drive strategic initiatives and manage relationships with regulatory bodies, ensuring the business stays ahead of regulatory changes and compliance trends.
Ideal Candidate:
* A candidate with a Big 4 background and 3–4 years of post-exam experience, ideally within the financial services sector.
* Strong experience in funds and financial services industries, with a focus on regulatory compliance and risk management.
* Holds accounting qualifications such as ACA, ACCA, or equivalent, with a solid understanding of financial regulations and reporting standards.
* Exceptional communication and analytical skills, with the ability to navigate complex regulatory landscapes and provide clear, actionable advice to both internal stakeholders and external parties.
* A proactive mindset, with the ability to engage in continuous learning and contribute to the development of compliance strategies that align with evolving business and regulatory requirements.
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