Are you eager to take up a new challenge? Join the Compliance Department as a Compliance Officer in the Onboarding Corporate Team. You will have multiple tasks, which include:
Due diligence on account opening requests
Review of client’s account opening files (corporate structures such as active and passive entities, financial institutions, asset managers, trusts, collective investments schemes) from an AML/CTF (AMLA, AMLO-FINMA, CDB) and sanction standpoint
Review within the account opening process of tax compliance aspects such as FATCA and CRS as well as cross-border aspects
Drafting of internal memos and contribution to the drafting of procedures
Optimization of internal processes and guidelines
Participation in key regulatory projects
Review of client’s account modification requests (e.g change of beneficial owner, authorized signatories, directors, correspondence address)
Support and advice to the Front line and management
Requisitos
Bachelor or Master Degree preferably in Laws/Economics or an accomplished apprenticeship in the financial industry
1 to 3 years of experience in the financial industry
Knowledge of Swiss AML laws (AMLA, AMLO-FINMA, CDB) and other regulations (FinSA, FinIA, CISA)
A Certificate in collective investment schemes is a plus as well as knowledge and practice in European collective investment schemes (UCITS, AIFs, PIFs, SPV, SPC, Limited partnership)
Eager to learn and ready to take on challenges
Ability to multi-task and work under pressure
Analytical and methodological approach
Very good writing and communication skills in French and English (another language is an asset)
Excellent communication and collaboration skills
Strong team player who enjoys working in multicultural, dynamic, technological and international environment
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