pA career at bLombard Odier /b means working for a renowned global wealth and asset manager, with a strong focus on sustainable investing. An innovative bank of choice for private and institutional clients, our independently owned Firm is one of the best-capitalised banking groups in the world, managing close to CHF 300 billion and operating from over 25 offices across 4 continents.br/ /ppWith a history spanning over 225 years, bLombard Odier /b is an investment house providing a comprehensive offering of discretionary and advisory portfolio management, wealth services and custody. We also offer asset management services and investment strategies through bLombard Odier Investment Managers /b and provide advanced banking technology to other financial institutions.br/ /ppb“Rethink Everything” is our philosophy /b – it is at the heart of everything we do. We have grown stronger through more than 40 financial crises by rethinking the world around us to provide a fresh investment perspective for our clients. /ppbLOCAL COMPLIANCE OFFICER (7-month contract) /b /ppReporting to the Chief Compliance Officer Europe, you will be responsible for the boperational effectiveness of the Compliance Function of our local branch /bas regards AML/CFT, Investor Protection and Conduct matters (MiFID2) ensuring adequate functioning of the local compliance function, bproactive management of compliance risks /b and their timely escalation, as well as complete and accurate breporting /b to the relevant authorities. /ppIn your role, you will also bwork closely with /b the Compliance Function based at our bEuropean headquarters /b bin Luxembourg /b as well as our bGroup headquarters in /b bSwitzerland /b, participating in Group and/or Luxembourg-led initiatives (regulatory or strategic projects, group-all training initiatives, deployment of tools and best practices), sharing expertise and providing local know-how. /ppbYOUR ROLE: /b /ppManage AML/CFT compliance and financial crime risk consistently to ensure that risks and vulnerabilities are identified, controlled and reported in an effective, timely and uniform manner Advise and provide support to the business on the appropriate standards for compliance with the applicable AML/CFT laws, rules, and regulations, including providing training to the local Staff as well as supporting the overall LOESA Compliance organization in the development of the bank’s AML/CFT training program Be responsible for the local Due Diligence Committee (DDC) to accept the onboarding of clients, escalating to the European DDC the clients classified as PEP or High Risk. Implement and update internal AML/CFT policies and procedures in accordance with local requirements and with LOESA and Lombard Odier Group policies. /pliBeing the bkey advisor to local Staff /b on the application of regulatory requirements aimed at bensuring investor protection and impeccable conduct /b(e.g., MiFID2 rules and internal policies and procedures on the provision of investment services such as suitability, inducements, product governance and distribution). To this end, cooperate with the Front Office in a timely manner in order to adhere to both regulatory and policy requirements and manage compliance risk while considering the business objectives. /liliEnsure the identification and adequate management of bconflicts of interest /b relevant to the local Branch’s activities and its Staff, logging any issues in the conflicts’ register and promptly escalating any risk events to the Chief Compliance Officer. Within this context, you will also support the Luxembourg headquarters in evolving and improving the existing conflicts of interest and personal account dealing framework. /liliKeep bregularly updated on /b blocal and European regulatory developments /b as well as on the respective regulator’s and industry practices so as to better assess potential compliance risks and needs, and adequately advise senior management. In this context, work closely with the Luxembourg headquarters and escalate potential regulatory developments that may impact LOESA’s current AML/CTF and/or investment services frameworks (e.g., client on-boarding, risk scoring, and monitoring; suitability appropriateness, product distribution, product governance, client information…). Where relevant, you may bactively participate in such initiatives /b to embed your expertise and ensure local regulatory requirements are taken into consideration. /liliEnsure adherence to and bstrong monitoring of all compliance related regulatory requirements /b and developments applicable to the local Branch, and including regulations in the EU /liliEnsure btimely, complete and accurate reporting /b of significant control and compliance issues to top management, as well as to the relevant local regulatory authorities. /liliProvide the bnecessary support to Audit and Risk control functions /b, ensuring effective and timely implementation of audit issues, keeping orderly audit trail /liliPromote the bhighest ethical standards /b required of staff and to ensure staff meet the requirements of the Compliance Manual and the relevant regulatory rules. /lipbYOUR PROFILE: /b /pliMinimum of 4 years of relevant compliance experience on AML/CFT/MiFID2 compliance activities with a thorough understanding of the EU and local regulatory environment and regulator’s expectations /liliStrong skills in the financial services industry, with a good understanding of Private Banking business /liliGood knowledge and experience using AML/CFT screening tools and of the Microsoft office package /liliStrong interpersonal, communication, and presentation skills. /liliAnalytical and organized mindset, results oriented, and problem-solving skills. Possess excellent attention to detail /liliBachelor’s degree (or equivalent) required or evidence of comparable academic / work achievement /liliFluent in English. Another European language like French would be an advantage. /lipbOur Maison’s DNA /bis defined by five core values. bExcellence /b drives us to be the best at what we do, while bInnovation /b fuels our progress. bRespect /b underpins every interaction, and bIntegrity /bshapes our actions. Together, we are bOne Team /b, united in serving our clients with unwavering dedication. /ppAs a responsible and supportive employer, we promote a diverse and inclusive work environment for our employees and candidates. bDiversity, Equity and Inclusion /b are woven into the fabric of our Maison’s DNA, and we strive to ensure that our employees can fulfill both their personal and professional aspirations by encouraging internal mobility and individual upskilling programs. We firmly believe that building Diverse Teams contributes to our successes and to deliver on this, we actively embed Diversity, Equity and Inclusion in our business strategy. /ppbIt is an exciting time to join our Teams. All applications will be handled in the strictest confidence. /b /p
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