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Develop and implement compliance policies and procedures in line with FINMA guidelines and regulations related to cross-border risk and investment services (e.g., FinIA, FinSA, FinIO; familiarity with European MiFID II is preferable)
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Monitor and assess the Bank's compliance with FINMA obligations and the Bank’s internal regulations, including conducting gap analysis and risk assessments
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Perform 2nd level controls and report related outcome to the Bank's stakeholders
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Provide guidance and support to the Bank's management and staff/1st level of defense on compliance-related matters, ensuring a strong compliance culture throughout the organisation
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Stay up-to-date with changes in external and Group’s regulations and guidelines, and communicate any relevant updates to the Bank's stakeholders
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Conduct training sessions and workshops to educate employees/1st level of defense on compliance requirements and best practices
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Collaborate with internal departments to ensure a coordinated approach to compliance
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For Supervisory Authorities, give support to inquiries and requests for information in a timely and accurate manner
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Assess and report any compliance breaches or suspicious activities, and recommend appropriate remedial actions
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Update files and documentation for Audit and Supervisory bodies, ensuring proper document quality and retention
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Conduct periodic reviews of the Bank's compliance programmes and map of controls to identify areas for improvement and implement necessary changes
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Maintain accurate and up-to-date records of compliance activities, including documentation of policies, procedures, and training materials
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Prepare and submit regulatory reports and filings accurately and within specified deadlines
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Assist in the development and implementation of compliance monitoring systems and tools to enhance efficiency and effectiveness
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University studies in law, economics or related fields
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A relevant professional certification (e.g., CAS in Compliance) considered a strong asset
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Minimum of 5 years of experience in compliance within the banking or financial services industry, with a strong focus on FINMA obligations for the representation of foreign collective investment schemes, investment services, and cross-border risk
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In-depth knowledge of Swiss financial regulations, particularly those related to regulatory compliance
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Strong analytical and problem-solving skills, with the ability to interpret complex regulations and apply them to practical situations
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Excellent communication and interpersonal skills, with the ability to effectively communicate compliance requirements to stakeholders at all levels of the organisation
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Proven track record of successfully implementing and managing compliance programmes within a banking or financial services environment
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Open-minded in evaluating contexts and committed to taking care of the subject matters
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Detail-oriented and highly organised, with the ability to manage multiple tasks and meet deadlines
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Ability to work independently and make sound decisions, while also collaborating effectively with cross-functional teams
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Strong team spirit, with collaborative and positive approach
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Proactive and self-motivated, with a strong commitment to maintaining the highest standards of compliance and confidentiality
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Good English and French, Italian considered as an asset
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Very good organisational skills and time management
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Proficiency in MS Office; PM1, FINNOVA is a plus
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Applicants must reside in Switzerland