Beschreibung

About the job:

  • Ensure ongoing compliance with Swiss and international regulatory requirements (e.g., FINMA, AMLA)

  • Maintain and enhance internal compliance policies, procedures, and controls

  • Monitor and oversee investment compliance with regard to internal guidelines and external regulations

  • Support the onboarding process of new investment structures, counterparties, and service providers (KYC/AML checks)

  • Conduct internal training and promote compliance culture within the organization

  • Act as a liaison for regulatory authorities and external auditors

  • Stay up to date on regulatory developments impacting asset and wealth management


About the candidate:

  • University degree in law, finance, or a related field

  • At least 5 years of relevant compliance experience in asset management, wealth management, or a family office

  • Strong knowledge of Swiss financial regulation (e.g., FINIA/FINMA guidelines) and investment compliance frameworks

  • Structured, detail-oriented, and discreet, with a proactive and solution-driven mindset

  • Fluent in German and English (spoken and written)

  • Able to work independently in a small, dynamic team environment

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