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  • Posted: Apr 22, 2025
    Deadline: Not specified
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  • UK Neo-Banking Financial institution, providing Banking as a Service (BaaS)
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    Compliance and Risk Analyst

    Regulatory Compliance:

    • Monitor and ensure adherence to local and international regulatory requirements, including AML/CFT regulations, KYC procedures, and data protection laws.
    • Assist in the development and maintenance of compliance policies, procedures, and frameworks to align with regulatory expectations.
    • Conduct periodic compliance reviews and audits to identify potential risks and gaps.
    • Collaborate with regulatory bodies and financial institutions to stay updated on new compliance mandates and industry best practices.

    Risk Management:

    • Identify, assess, and monitor financial, operational, and compliance risks within the organization.
    • Support the development and implementation of risk mitigation strategies.
    • Analyze transaction patterns and flag suspicious activities for further investigation.
    • Assist in conducting risk assessments for new products, services, and partnerships.

    KYC and AML Monitoring:

    • Ensure effective execution of KYC and AML policies in line with industry standards.
    • Review customer transactions for signs of money laundering, fraud, and other financial crimes.
    • Conduct due diligence on new and existing customers, business partners, and vendors.
    • Prepare reports on suspicious activities and escalate to relevant authorities as necessary.

    Internal Controls & Reporting:

    • Maintain accurate records of compliance activities, audits, and risk assessments.
    • Prepare periodic reports on compliance and risk findings for senior management.
    • Support internal and external audits by providing necessary documentation and insights.
    • Perform any other duties as assigned by management.

    Requirements & Qualifications

    • Bachelor's degree in Finance, Law, Business Administration, Risk Management, or a related field.
    • Proven 4 - 5 years of experience in compliance, risk management, or regulatory affairs within the fintech, remittance, or payment systems industry.
    • Strong knowledge of AML, KYC, data privacy, and financial regulations in cross-border payments.
    • Experience with risk assessment tools and compliance software.
    • Analytical mindset with strong problem-solving and decision-making abilities.
    • Excellent communication skills and the ability to work with cross-functional teams.
    • Proficiency in Microsoft Office Suite and compliance-related software.
    • Certification in compliance (e.g., CAMS, CRCM, and ICA) is a plus.

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    Method of Application

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