Head of Compliance Assurance Luxembourg # 140969
Credit Suisse
Luxembourg, Luxembourg, Luxembourg
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We Offer

As an experienced Compliance Officer, your role will be to support the International Wealth Management Compliance team in conducting Tax Compliance, Suitability & Appropriateness, Anti-Fraud and AML testing and performing any other review activities for Credit Suisse (Luxembourg) S.A. and its branches.

You will be leading the Compliance Assurance Team that is in charge of compliance monitoring and testing for Credit Suisse Luxembourg.

The team currently has a size of four including the Head.

The Compliance Reviews department has the responsibility to perform risk based compliance reviews using a focused, independent, and consistent global approach, with aim to actively identify and escalate compliance risks, determine mitigating action plans and monitor timely and appropriate implementation.

  • A challenging function as Head of the Compliance Review Team located in Luxembourg
  • Responsibility for checking compliance with regulatory requirements, internal policies and standards, i.e. the identification, assessment and documentation of compliance risks
  • Actively evaluate the efficiency of procedures and guidelines which seek to mitigate such risks
  • Responsibility for the formulation of recommendations, and monitoring implementation of the corresponding action plans
  • Development and execution of the IWM annual testing and monitoring plan
  • Reporting accordingly to the Chief Compliance Officer and to Functional Line Management within CS Group
  • Involvement in the ongoing development of the review programs
  • Liaising with other local and Group Compliance functions
  • Conducting trainings to staff / compliance teams on relevant compliance-related laws, regulations, best practices and internal local and global policies
  • Act as a source of subject matter expertise and provide guidance related matters to the business and internal partners from Compliance and General Counsel
  • You Offer

  • A university degree in Law or Economics or comparable degree
  • Minimum of 7 years’ experience in the banking sector within a Compliance, Audit or similar function
  • Experience on testing methodologies
  • Experience on leading small teams
  • Very good knowledge on MIFID II and other compliance related topics as well as on tax, fraud and AML related topics
  • You have a high standard of written and spoken English; good knowledge of German and French; any other languages would be an advantage
  • Familiarity with standard MS Office products, as well as a flair for figures
  • An independent approach to your work, combined with the ability to identify the relevant compliance considerations in any given situation
  • An open, collaborative personality; excellent time management skills
  • Ability to work under pressure
  • High level of attention to details
  • Ability to communicate clearly and accurately with clients and peers
  • Excellent professional and client service attitude
  • Excellent problem-solver, being able to use good judgement
  • You show can-do attitude and flexibility and you are open to changes with focus on improvement
  • You are keen to work in an inclusive environment and excel at collaborating in a global team
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