**Job Title:** Head of Compliance
The successful candidate will oversee the firm's compliance with all regulatory requirements, provide support for reporting to the Board of Directors, and advise on future and changing regulatory matters.
Responsibilities:
* Preparing, reviewing, and advising on Compliance Policies and Group Policies.
* Management of the Governance system and portal.
* Coordinating and reviewing the policies and procedures of the funds under management.
* Working with the group compliance team and sitting on the Compliance Committee.
Key Responsibilities Include:
* Participate in the monthly Compliance Committee meetings.
* Collaborate with the Dublin team to review investment compliance of funds under management.
* Execute the Annual Compliance Plan.
* Advise and guide staff on compliance matters.
* Assist in reviewing the risk management framework.
* Support the MLRO with AML reviews.
* Prepare reports and updates for the Board, the Central Bank, Senior Management.
Requirements:
* Experience in a PCF12 role, ideally in asset management or funds industry.
* Knowledge and experience with regulations issued by the CBI and ESMA (CP86, AIFMD, UCITS).
* AML/CDD/KYC knowledge and experience.
* Experience managing the CBI relationship, including day-to-day matters.
Skills Required:
* Head of Compliance
* PCF 12
* PCF39